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香港數碼港管理有限公司

2015/16

年報

111

Notes to the Financial Statements

財務報表附註

3

財務風險管理及金融工具之公允

價值

(續)

(a)

財務風險因素

(續)

(iii)

流動資金風險

(續)

下表為本公司之財務負債按報告期末至合

約到期日之剩餘期間之相關到期組別分

析。在表內披露之金額為合約未折現之現

金流量。

3 Financial risk management and fair values of

financial instruments

(continued)

(a) Financial risk factors

(continued)

(iii) Liquidity risk

(continued)

The table below analyses the Company’s financial

liabilities into relevant maturity groupings based on the

remaining period at the end of the reporting period to the

contractual maturity date. The amounts disclosed in the

table are the contractual undiscounted cash flows.

Less than

1 year

Between

1 and 2 years

More than

2 years

一年以下 一至兩年 兩年以上

HK$

HK$

HK$

港元

港元

港元

At 31 March 2016

2016

3

31

Trade and other payables

應付賬款及其他應付款項

70,314,470

Rental and other deposits

租金及其他按金

34,424,802 16,991,792 25,584,998

Amount due to the immediate

 holding company

應付直接控股公司

款項

254,303,568

Finance lease liabilities

融資租賃負債

2,107,080 2,107,080 1,580,310

At 31 March 2015

2015

3

31

Trade and other payables

應付賬款及其他應付款項

77,405,078

Rental and other deposits

租金及其他按金

28,167,432 25,920,186 20,489,861

Amount due to the immediate

 holding company

應付直接控股公司

款項

254,277,277

Finance lease liabilities

融資租賃負債

2,107,080 2,107,080 3,687,390