Hutchison Port Holdings Trust - Annual Report 2025

HUTCHISON PORT HOLDINGS TRUST 142 CONSOLIDATED STATEMENT OF CHANGES IN EQUITY For the year ended 31 December 2025 Units in issue Exchange and other reserves Revaluation reserve Hedging reserve Pension reserve Accumulated losses Attributable to unitholders Non- controlling interests Total HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 Group At 1 January 2024 68,553,839 (360,307) (346,113) 193,963 481,986 (42,894,162) 25,629,206 17,725,836 43,355,042 Profi t for the year – – – – – 649,975 649,975 1,523,235 2,173,210 Other comprehensive income/(loss): Remeasurement of defi ned benefi t plans – – – – 158,669 – 158,669 – 158,669 Investments: Valuation losses taken to reserves – – (21,973) – – – (21,973) – (21,973) Cash fl ow hedges arising from interest rate swap contracts: Fair value losses recognised directly in reserves – – – (166,312) – – (166,312) – (166,312) Share of other comprehensive loss of associated companies – (2,521) – – – – (2,521) (2,322) (4,843) Share of other comprehensive loss of joint ventures – (32,877) 35 – – – (32,842) (8,526) (41,368) Currency translation diff erences – (73,272) – – – – (73,272) (37,614) (110,886) Total other comprehensive loss – (108,670) (21,938) (166,312) 158,669 – (138,251) (48,462) (186,713) Total comprehensive income – (108,670) (21,938) (166,312) 158,669 649,975 511,724 1,474,773 1,986,497 Transactions with owners: Distributions – – – – – (1,106,310) (1,106,310) – (1,106,310) Dividends – – – – – – – (2,234,394) (2,234,394) At 31 December 2024 68,553,839 (468,977) (368,051) 27,651 640,655 (43,350,497) 25,034,620 16,966,215 42,000,835

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