Thursday, April 24, 2014

CMPF 1QFY2014

Revenue                                 = HKD 464m
Profit (attributable to shr)      = HKD 148m
EPS                                        = HKD 14.84 cents
NAV                                      = HKD  6.36
Total Borrowings                  = HKD 3,662m
Net Borrowings                     = HKD 2,026m
Cash from Ops Activities      = HKD 270m
Cash & Cash Equiv               = HKD 1,636m

Note: Net borrowings fell from HKD 2,220m (FY2013) to HKD 2,026m (1QFY2014).

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