Financial statements

Statement of Changes in Equity

For the financial year ended 31 December 2022

Note Share capital USD’000 Share premium USD’000 Contributed surplus USD’000 Merger
reserve USD ’000
Treasury shares USD’000 Share-based payment reserve USD’000 Capital reserve USD ’000 Retained
earnings USD ’000
Total USD’000
Balance at 1 January 2022 3,703 704,834 537,112

(76,657)

(12,832) 4,837

47,672

1,208,669

Transactions with owners
Issue of common shares (net of capitalised equity raise costs) 11 376 97,170 97,546
Acquisition of subsidiaries

(net of capitalised costs)

3 921 206,459 12,832 220,212
Equity-settled share-based payment 1,760 1,760
Share options exercised 2,893 (724) (710) 1,459
Purchase of treasury shares cum issuance of shares 11 35 15,533 (15,568)
Dividends paid 18 (243,748) (243,748)
Total comprehensive income

Profit after tax, representing total comprehen- sive income for the financial year

384,302

384,302

Balance at 31 December 2022 5,035 1,023,996 537,112

(76,657)

(12,675) 5,873 (710)

188,226

1,670,200

For the financial year ended 31 December 2021

Note Share capital USD’000 Share premium USD’000 Contributed surplus USD’000 Merger
reserve USD ’000
Treasury shares USD’000 Share-based payment reserve USD’000 Retained
earnings USD ’000
Total USD’000
Balance at 1 January 2021 3,703 704,834 537,112

(76,657)

(13,001) 1,859

5,853

1,163,703

Transactions with owners
Equity-settled share-based payment 169 2,978 3,147
Total comprehensive income/(loss)

Profit after tax, representing total comprehensive income for the financial year

41,819

41,819

Balance at 31 December 2021 3,703 704,834 537,112

(76,657)

(12,832) 4,837

47,672

1,208,669

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