E

Consolidated Statement of Comprehensive Income

For the year ended 31 December 2014
Note2014
HK$ million
2013
HK$ million
(Restated)
Profit for the year59,80070,459
Other comprehensive income for the year
     (after tax and reclassification adjustments)
17
Items that have been reclassified or may be reclassified
     subsequently to profit or loss:
Available-for-sale financial assets: net movement
     in the fair value reserve
11,241(5,919)
Cash flow hedge: net movement in the hedging reserve(1,178)1,419
Share of other comprehensive income of associates
     and joint ventures
168770
Exchange differences on translation of financial statements of
     subsidiaries, associates and joint ventures and others
(1,980)11,878
Other comprehensive income for the year, net of tax8,2518,148
Total comprehensive income for the year68,05178,607
Attributable to:
Ordinary shareholders of the Company46,42154,726
Holders of perpetual capital securities1,130881
Non-controlling interests20,50023,000
Total comprehensive income for the year68,05178,607