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Annual Report 2015

二零一五年年報

65

For the year ended 31 December 2015

截至二零一五年十二月三十一日止年度

Consolidated Cash Flow Statement

綜合現金流量表

2015

2014

二零一五年

二零一四年

HK$’000

HK$’000

港幣千元

港幣千元

Investing activities

投資活動

Proceeds from disposal of available-for-sale debt securities

出售可供出售債務證券所得款項

181,169

215,987

Payment for purchase of available-for-sale debt securities

購入可供出售債務證券所支付款項

(121,744)

(214,883)

Proceeds from sales of property, plant and equipment

出售物業、廠房及設備所得款項

150

Payment for purchase of property, plant and equipment

購置物業、廠房及設備所支付款項

(5,865)

(2,874)

Payment for investment in an associate

投資聯營公司所支付款項

(5,494)

Interest received

已收利息

16,713

13,975

Dividend received from an associate

已收聯營公司的股息

2,127

860

Proceeds from disposal of associates

出售聯營公司所得款項

7,092

(Placement)/receipts of deposits with bank

(存入)╱收取銀行存款

(434)

1,614

Net cash generated from investing activities

投資活動所產生現金淨額

73,564

14,829

Financing activities

融資活動

Proceeds from shares issued under share option schemes

根據購股權計劃發行股份所得款項

1,554

3,545

Dividends paid to equity shareholders of the Company

已付本公司股權持有人的股息

(96,856)

(77,661)

Net cash used in financing activities

融資活動所用的現金淨額

(95,302)

(74,116)

Net increase in cash and cash equivalents

現金及現金等值增加淨額

32,109

1,370

Cash and cash equivalents as at 1 January

於一月一日的現金及現金等值

110,317

108,947

Cash and cash equivalents as at 31 December

於十二月三十一日的現金及現金等值

142,426

110,317

The notes on pages 66 to 127 form part of these financial statements.

66

頁至第

127

頁的附註構成財務報表的一部分。