Investor Relations
Financial Highlights 

(HK$ million)

For the year ended
30 Jun

2021

2020

Revenue

 2,511

 8,407

 

Attributable Revenue

 3,224

 8,466

 
Profit Attributable to Equity Holders

 776

 2,556

 
Underlying Profit

 488

 2,736

 

Basic EPS (HK cents)

 24.83

 81.77  

Interim Dividend / share (HK cents)

 7

 7

 

(HK$ million)

As at 30 Jun 2021

As at 31 Dec  2020

Total Assets

 85,509
 81,754
Cash and Cash Equivalents(1)  5,966
 7,673

Total Debts

 21,305  25,042

Shareholders' Funds

 44,984
 43,577

NAV per Share (HK$)

 14.4
 13.9

Gearing Ratio(2)

 33%

 39%

EBITDA / Interest(3)

 7x

 22x

Remarks:

(1)Includes bank balances as well as short-term and structured bank deposits
(2)Gearing ratio = net debt / total equity
(3)Interest being net interest before capitalization for the period under review

 
 
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Manpower Developer
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