GROUP FINANCIAL SUMMARY RESULTS (US$’000) For the year ended FY2017 FY2018 FY2019 FY2020 FY2021 Revenue Rental income 57,844 74,311 118,042 101,402 110,508 Management fee income 94,268 135,579 166,721 189,278 244,042 Construction income – 40,665 69,858 92,160 43,815 Solar energy income 1,177 3,593 2,748 5,491 6,061 153,289 254,148 357,369 388,331 404,426 Segment Results Investment 182,933 233,592 256,087 225,938 342,493 Fund management 79,371 109,601 131,825 147,598 198,956 Development 161,559 115,503 244,782 289,178 235,324 423,863 458,696 632,694 662,714 776,773 Profit after tax 200,834 212,878 278,400 314,707 382,676 Profit attributable to: Owners of the Company (“PATMI”) 186,265 203,042 245,177 286,466 349,440 Non-controlling interests 14,569 9,836 33,223 28,241 33,236 200,834 212,878 278,400 314,707 382,676 ASSETS, LIABILITIES AND SHAREHOLDERS’ EQUITY (US$’000) At 31 December FY2017 FY2018 FY2019 FY2020 FY2021 Non-current assets 2,386,490 3,562,491 5,156,142 5,861,284 7,417,348 Current assets 668,378 869,109 1,196,056 1,826,157 1,920,270 Total assets 3,054,868 4,431,600 6,352,198 7,687,441 9,337,618 Current liabilities 162,362 855,373 488,976 985,662 1,581,843 Non-current liabilities 1,185,866 1,258,305 2,612,110 2,896,574 3,341,740 Total liabilities 1,348,228 2,113,678 3,101,086 3,882,236 4,923,583 Net assets 1,706,640 2,317,922 3,251,112 3,805,205 4,414,035 Equity attributable to owners of the Company 1,580,085 2,090,039 3,026,254 3,596,209 4,158,858 Non-controlling interests 126,555 227,883 224,858 208,996 255,177 Total equity 1,706,640 2,317,922 3,251,112 3,805,205 4,414,035 E S R C A Y M A N L I M I T E D A N N U A L R E P O R T 2 0 2 1 239
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