1、 2019 Annual Report年報Financial Highlights財務概要REVENUE 營業額2,870.8201520162017201820192,914.83,591.14,415.44,925.7HK$million百萬港元Year年CAGR複合年增長率14.5%01,0002,0004,0003,0005,000SALES BY GEOGRAPHICAL REGION 按地區營業額2,514,700397,124927,562345,974740,3734,925,733Total 總計201920182,408,613683,117China market 中國市
2、場LACISEMEAAPACUSCA680,387262,302380,990HK$000千港元HK$000千港元4,415,409Total 總計Financial Highlights財務概要For the year ended 31 December(in HK$000)截至十二月三十一日止年度(千港元)2019二零一九年2018二零一八年+/(-)Revenue收入4,925,7334,415,409+11.6%Gross profit毛利1,944,8331,626,681+19.6%Operating profit經營溢利761,626639,269+19.1%Profit bef
3、ore income tax除所得稅前溢利754,673632,742+19.3%Profit for the year年度溢利624,864515,398+21.2%Profit attributable to the owners of the Company本公司持有人應佔溢利623,873522,470+19.4%Research and development costs(included in administrative expenses)研發開支(包括在行政費用內)(398,759)(332,016)+20.1%Net impairment losses on financia
4、l assets金融資產之減值淨虧損(65,914)(43,290)+52.3%Share-based payment expenses(included in selling and administrative expenses)股份支付費用(包括在銷售開支及行政費用內)(38,686)N/A 不適用Key financial information excluding share-based payment expenses主要財務資料(不包括股份 支付費用)Operating profit經營溢利800,312639,269+25.2%Profit for the year年度溢利66
5、3,550515,398+28.7%Profit attributable to the owners of the Company本公司持有人應佔溢利662,559522,470+26.8%20192018At 31 December(in HK$000)於十二月三十一日(千港元)二零一九年二零一八年+/(-)Total current assets流動資產總值6,196,7035,343,736+16.0%Total assets資產總值6,719,2235,775,554+16.3%Net current assets流動資產淨值4,321,0493,802,754+13.6%Total
6、 equity權益總額4,739,3524,212,608+12.5%EARNINGS PER SHARE&DIVIDEND 每股盈利及股息20192018Per Share(in HK$)每股(港元)二零一九年二零一八年+/(-)Earnings per share每股盈利 Basic基本0.5670.475+19.4%Diluted攤薄0.5670.475+19.4%Proposed final dividend per ordinary share建議每股普通股末期股息0.060.04+50%Financial Highlights財務概要 附註1 權益回報本公司持有人應佔溢利年末權益總