Interim Report 2014
Notes to the Condensed Consolidated Financial Statements 簡明綜合財務報表附註 FOR THE SIX MONTHS ENDED 30 JUNE 2014 截至二零一四年六月三十日止六個月 Sunny Optical Technology (Group) Company Limited Interim Report 2014 p54 19. 股本 截至二零一四年六月三十日的已發行股 本 為 109,700,000 港 元(相 等 於 約 人 民 幣 105,177,000 元),分為 1,097,000,000 股每股 面值 0.1 港元的普通股。於本中期期間,本公 司已發行股本並無變動。 20. 受限制股份獎勵計劃 作為獎勵的本公司限制性股份(「限制性股 份」)的公允值按本公司股份於授出日期的市 價釐定。 已授出限制性股份的數目及其相關公允值的 變動如下: 於本中期期間,於損益扣除的以權益結算 股 份 付 款 開 支 約 為 人 民 幣 18,418,000 元 (二零一三年同期:約人民幣 12,431,000 元)。 19.SHARE CAPITAL I ssued sha re cap i t a l as a t 30 June 2014 amoun t ed t o HK $ 1 0 9 , 7 0 0 , 0 0 0 ( e q u i v a l e n t t o a p p r o x i ma t e l y RMB105,177,000) with number of ordinary shares amounted to 1,097,000,000 of HK$0.1 each. There were no movements in the issued share capital of the Company in the current interim period. 20.RESTRICTED SHARE AWARD SCHEME The fair value of the Company’s restricted shares (the “Restricted Shares”) awarded was determined based on the market value of the Company’s shares at the grant date. Movements in the number of Restricted Shares granted and related fair value are as follows: Weighted average No. of fair value Restricted (per share) Shares 每股加權 平均公允值 限制性 股份數目 HKD (’000) 港元 (千股) As at 1 January 2013 (audited) 於二零一三年一月一日(經審核) 2.193 35,930 Lapsed 已失效 2.821 (537) Vested 已歸屬 2.086 (12,998) Granted (Note 1) 已授出(附註 1 ) 8.516 8,180 As at 31 December 2013 and 1 January 2014 (audited) 於二零一三年十二月三十一日及二零一四年一月一日(經審核) 3.919 30,575 Lapsed 已失效 2.064 (145) Vested 已歸屬 1.823 (8,546) Granted (Note 2) 已授出(附註 2 ) 7.190 2,784 As at 30 June 2014 (unaudited) 於二零一四年六月三十日(未經審核) 5.025 24,668 The equity-settled share-based payments expense charged to profit or loss was approximately RMB18,418,000 for the current interim period (the corresponding period of 2013: approximately RMB12,431,000).
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