Interim Report 2009

13 Interim Report 2009 中期報告 6. 期內溢利 7. 每股盈利 該兩個期間的每股基本盈利乃根據本公司 股東應佔期內溢利及已發行股份加權平均 數 1,000,000,000 股計算。 由於本公司於該兩個期間或各結算日並無 已發行潛在攤薄股份,故並無呈列每股攤 薄盈利。 6. PROFIT FOR THE PERIOD Six months ended 30 June 截至六月三十日止六個月 2009 2008 二零零九年 二零零八年 RMB’000 RMB’000 人民幣千元 人民幣千元 (unaudited) (unaudited) (未經審核) (未經審核) Profit for the period has been arrived at after charging (crediting): 期內溢利已扣除(計入)下列各項: Staff’s salaries and allowances 僱員薪金及津貼 96,869 111,286 Staff’s contribution to retirement benefit scheme 僱員退休褔利計劃供款 9,294 9,729 Total staff costs 僱員成本總額 106,163 121,015 Auditor’s remuneration 核數師酬金 1,249 1,227 Depreciation of property, plant and equipment 物業、機器及設備折舊 39,927 34,960 Release of prepaid lease payments 預付租金撥回 251 251 Amortisation of an intangible asset 無形資產攤銷 1,471 – Allowance for bad and doubtful debts 呆壞賬撥備 752 3,338 Reversal of allowance for inventories 存貨撥備撥回 (5,862) (310) Net foreign exchange losses 外匯虧損淨額 2,621 2,390 Net (gain) loss on disposal of property, plant and equipment 出售物業、機器及設備的(收益)虧損淨額 (443) 670 7. EARNINGS PER SHARE The calculation of basic earnings per share for both periods is based on the profit for the period attributable to owners of the Company and the weighted average number of 1,000,000,000 shares in issue. No diluted earnings per share is presented as the Company did not have any potential dilutive shares in issue during both periods or at each of the balance sheet dates.

RkJQdWJsaXNoZXIy NTk2Nzg=