117 Annual Report 2024 Attributable to owners of the Company Group Share capital (Note 16) Treasury shares (Note 16) Sharebased payment reserve (Note 16) Revenue reserve Other reserves (Note 17) Foreign currency translation reserve (Note 18) Total Noncontrolling interests Total equity $’000 $’000 $’000 $’000 $’000 $’000 $’000 $’000 $’000 2024 At 1 January 2024 131,902 (1,910) 1,373 102,633 9,994 (27,847) 216,145 (65) 216,080 Profit for the year − − − 26,345 − − 26,345 101 26,446 Other comprehensive income/(loss) – Foreign currency translation − − − − − (4,583) (4,583) 3 (4,580) Other comprehensive income/(loss) for the year, net of tax − − − − − (4,583) (4,583) 3 (4,580) Total comprehensive income/(loss) for the year − − − 26,345 − (4,583) 21,762 104 21,866 Contributions by and distributions to owners – Issuance of ordinary shares (Note 16) 23,209 − − − − − 23,209 − 23,209 – Re-issuance of treasury shares (Note 16) − 1,666 (1,373) − (293) − − − − – Dividends on ordinary shares (Note 34) 11,279 − − (18,833) − − (7,554) − (7,554) – Equity-settled compensation to employees (Note 16) − − 2,427 − − − 2,427 − 2,427 Total transactions with owners in their capacity as owners 34,488 1,666 1,054 (18,833) (293) − 18,082 − 18,082 Closing balance at 31 December 2024 166,390 (244) 2,427 110,145 9,701 (32,430) 255,989 39 256,028 STATEMENTS OF CHANGES IN EQUITY For the financial year ended 31 December 2024
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