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香港數碼港管理有限公司

年報 2013/14

Notes to the Financial Statements

財務報表附註

173

21 Deferred income

21

遞延收益

2014

Government grants

Sponsorship

政府補助金

資助

Property,

Property,

plant and

plant and

equipment

Others

Sub-total

equipment

Total

物業、機器

物業、機器

及設備

其他

小計 及設備

合計

HK$

HK$

HK$

HK$

HK$

港元

港元

港元

港元

港元

Cost

成本

At 1 April 2013

2013

4

1

2,141,314

107,187

2,248,501

786,442

3,034,943

Additions

增加

220,423

220,423

220,423

Write off of projects completed

計劃完成註銷

(327,610)

(327,610)

(327,610)

At 31 March 2014

2014

3

31

2,141,314

2,141,314

786,442

2,927,756

Accumulated amortisation

At 1 April 2013

2013

4

1

(1,715,353)

(78,171)

(1,793,524)

(733,361)

(2,526,885)

Credited to statement of

計入全面收益表

comprehensive income

(366,401)

(249,439)

(615,840)

(53,081)

(668,921)

Write off of projects completed

計劃完成註銷

327,610

327,610

327,610

At 31 March 2014

2014

3

31

(2,081,754)

(2,081,754)

(786,442)

(2,868,196)

At 31 March 2014

2014

3

31

59,560

59,560

59,560

累計攤銷

Carrying amount

賬面值