Wednesday, July 22, 2015

HPHT 2QFY2015


Revenue                                                    HK$ 3127.0m
PBT                                                           HK$ 887.2m
PAT                                                           HK$ 695m
PAT Attribtable to HPH shareholders      HK$ 399.9m
Net Assets                                                 HK$ 62,162.2m
Cash & Cash Equiv                                   HK$ 7294,6m
Long Term Debt                                        HK$ 32,905,4m
Interim DPU for 2015                                15.7 HK cents


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