Consolidated Statement of Comprehensive Income
For the year ended 31 December 2022
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For the year ended 31 December |
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|---|---|---|---|
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Note |
2022 HK$ million |
2021 HK$ million |
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Profit for the year |
|
123,011 |
100,278 |
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Other comprehensive (loss)/gain for the year |
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Items that may be reclassified subsequently to profit or loss: |
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Fair value changes on financial assets at fair value through other comprehensive income |
(9,784) | 2,883 | |
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Loss allowance on financial assets at fair value through other comprehensive income |
480 | 39 | |
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Cash flow hedge: net movement in the hedging reserve |
1,272 | 869 | |
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Share of other comprehensive (loss)/income of associates and joint ventures |
(5,845) | 237 | |
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Exchange differences on translation of financial statements and others |
(115,936) | 29,142 | |
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Items that will not be reclassified subsequently to profit or loss: others |
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Revaluation gain on owner-occupied property reclassified as investment property |
27 | 245 | |
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Fair value changes on investments in equity instruments designated at fair value through other comprehensive income |
258 | 444 | |
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Other comprehensive (loss)/gain for the year |
(129,528) | 33,859 | |
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Total comprehensive (loss)/income for the year |
(6,517) | 134,137 | |
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Attributable to: |
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– Ordinary shareholders of the Company |
4,935 | 92,842 | |
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– Non-controlling interests |
(11,452) | 41,295 | |
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Total comprehensive (loss)/income for the year |
(6,517) | 134,137 | |
The notes form part of these consolidated financial statements.