

貿易通電子貿易有限公司
二零一七年中期報告
41
Notes to the Unaudited Interim Financial Report
(Continued)
未經審核中期財務報告附註
(續)
8 Dividends (continued)
(b) Dividends payable to equity shareholders of the Company
attributable to the previous financial year, approved and
paid during the interim period
Six months ended 30 June
六月三十日止六個月
2017
2016
二零一七年
二零一六年
HK$’000
HK$’000
港幣千元
港幣千元
Final dividend in respect of the financial year
ended 31 December 2016, approved and
paid during the following interim period, of
HK 6.3 cents per share (year ended 31
December 2015: HK 5.1 cents per share)
於下一個中期期間批准及派付截至
二零一六年十二月三十一日止財政年度
的末期股息每股
6.3
港仙(二零一五年
十二月三十一日止年度:每股
5.1
港仙)
50,059
40,515
Special dividend in respect of the financial year
ended 31 December 2016, approved and
paid during the following interim period, of
HK Nil per share (year ended 31 December
2015: HK 2.9 cents per share)
於下一個中期期間批准及派付截至
二零一六年十二月三十一日止財政年度
的特別股息每股港幣零元(二零一五年
十二月三十一日止年度:每股
2.9
港仙)
–
23,038
50,059
63,553
9 Other comprehensive income
Available-for-sale debt securities
Six months ended 30 June
六月三十日止六個月
2017
2016
二零一七年
二零一六年
HK$’000
HK$’000
港幣千元
港幣千元
Changes in fair value recognised during the period
期內已確認的公允價值變動
(2,538)
7,981
Reclassification adjustments for amounts transferred
to profit or loss:
就轉撥至損益的金額所作
重新分類調整:
– net (gain)/loss on disposal
- 出售所得(收益)╱虧損淨額
(2,384)
272
– impairment loss
- 減值虧損
7,992
–
Net movement in the fair value reserve during the
period recognised in other comprehensive income
已於其他全面收益確認的期內公允價值
儲備變動淨額
3,070
8,253
8
股息(續)
(b)
於中期期間批准及派付的上個財政年度
應付本公司股權持有人的股息
9
其他全面收益
可供出售債務證券