Annual Report 2019

90 Sunny Optical Technology (Group) Company Limited • ANNUAL REPORT 2019 Directors’ Report 董事會報告 Ma j o r F i nanc i a l and Bus i ness Pe r f o rmance Indicators Major financial and business performance indicators of the Group include revenue, gross profit margin, ratio of operating expenses, profit for the year, return on equity, trade receivable turnover days, trade payable turnover days, inventory turnover days and gearing ratio, etc. Details of the Group’s revenue, gross profit margin, ratio of operating expenses, trade receivable turnover days, trade payable turnover days and inventory turnover days are set out in the section “Management Discussion and Analysis” in this Annual Report. Details of other major performance indicators are discussed below. During the year, the Group’s return on equity increased by approximately 4.5 percentage points to approximately 31.6% compared to that of last year, mainly due to the increase in the profit for the year. The Group will continue to increase the return on equity by increasing the profit margins and earnings per share, etc. Environmental Policies and Performance The Group has formulated some policies in accordance with environmental regulations, such as conducting environmental impact assessment for various types of materials or machines prior to making any purchasing decision during the stage of design and R&D; enhancing awareness of environmental protection among all employees by organising environmental protection activities, training programmes and promotions; and leading a core role by top management of the Group to establish a well-defined structure and system for environmental management by outlining corresponding responsibility, scope and policy. During the daily operations, the Group has paid a close attention to the latest development of domestic and international environmental protection laws and regulations to ensure that the environmental policies are in line with domestic and international standards, as well as global peers. 主要財務及業務表現指標 本集團主要財務及業務表現指標包括收入、毛 利率、經營費用比率、年內溢利、股本回報 率、貿易應收款項周轉日數、貿易應付款項周 轉日數、存貨周轉日數和負債比率等。本集團 收入、毛利率、經營費用比率、貿易應收款項 周轉日數、貿易應付款項周轉日數及存貨周轉 日數的詳情載於本年報「管理層討論及分析」一 節中,其他主要表現指標的詳情論述如下。 於年內,本集團的股本回報率較去年增加約 4.5 個百分點至約 31.6% ,主要是由於年內溢利 的增加。本集團將繼續從提高利潤率及每股盈 利等方面來提高股本回報率。 環境政策及表現 本集團根據環境規例制定了一些政策,其中包 括:在設計與研發階段,於作出任何採購決定 前,為各類原料或機器評估環境影響;透過環 境保護活動、培訓課程及推廣,提高全體僱員 之環保意識;本集團最高層管理人員制定相應 責任、範圍及政策綱領,在建立清晰界定之環 境管理架構及系統上擔當核心角色等。 在實際日常運營中,本集團一直緊密關注國內 及國際環保法例發展的最新狀況,確保環境政 策不但符合國內及國際標準,同時確保能與全 球同業步伐一致。

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