Statement of Changes in Equity
權益變動表
For the year ended 31 March 2016
截至
2016
年
3
月
31
日止年度
香港數碼港管理有限公司
2015/16
年報
95
Share capital
Capital reserve
Accumulated
losses
Total equity
股本
資本儲備
累計虧損
權益總額
HK$
HK$
HK$
HK$
港元
港元
港元
港元
Balance at 1 April 2014
於
2014
年
4
月
1
日結餘
2 5,282,370,692 (1,880,188,101) 3,402,182,593
Changes in equity for the year:
年內權益變動:
Transfer from development
maintenance fund to capital reserve
(note 21)
由發展維修基金轉撥至
資本儲備(附註
21
)
–
9,790,279
–
9,790,279
Transfer from facilities maintenance
fund to capital reserve (note 22)
由設施維修基金轉撥至
資本儲備(附註
22
)
–
10,391,226
–
10,391,226
Capital reserve arising on handover of
property, plant and equipment
因移交物業、機器及設備
而產生之資本儲備
–
177,410
–
177,410
Loss and total comprehensive income
for the year
年內虧損及全面收益
總額
–
– (57,582,934)
(57,582,934)
Balance at 31 March 2015 and
1 April 2015
於
2015
年
3
月
31
日及
2015
年
4
月
1
日結餘
2 5,302,729,607 (1,937,771,035) 3,364,958,574
Changes in equity for the year:
年內權益變動:
Transfer from development
maintenance fund to capital reserve
(note 21)
由發展維修基金轉撥至
資本儲備(附註
21
)
–
693,044
–
693,044
Transfer from facilities maintenance
fund to capital reserve (note 22)
由設施維修基金轉撥至
資本儲備(附註
22
)
–
9,633,700
–
9,633,700
Loss and total comprehensive income
for the year
年內虧損及全面收益
總額
–
– (48,130,539)
(48,130,539)
Balance at 31 March 2016
於
2016
年
3
月
31
日結餘
2 5,313,056,351 (1,985,901,574) 3,327,154,779
The notes on pages 97 to 136 form part of these financial
statements.
第
97
至
136
頁之附註為本財務報表之組成部分。




