Page 104 - Hospital Authority Annual Report 2016-2017
P. 104

Independent Auditor’s Report and Audited Financial Statements 獨立核數師報告及經審查的財務報表

Notes to the Financial Statements 財務報表附註

9.	 Fixed income instruments (Continued)                                     9.	 固定入息工具(續)

	 At 31 March 2017, the fixed income instruments held by the                 於二零一七年三月三十一日,集團及醫管局
       Group and HA are as follows:                                          持有的固定入息工具如下:
          The Group and HA
          集團及醫管局                                                             At 31 March 2017        At 31 March 2016
                                                                                         HK$’000                 HK$’000
        Maturing within one year 一年內到期
        Maturing between one and five years 一至五年內到期                           2017 年 3 月 31 日        2016 年 3 月 31 日
                                                                                         港幣千元                   港幣千元

                                                                                        1,890,000                250,000
                                                                                          250,000
                                                                                                               1,840,000
                                                                                        2,140,000
                                                                                                               2,090,000

	 The above financial assets are neither past due nor impaired. The          上 述 財 務 資 產 並 沒 有 過 期 或 減 值, 這 些 資
       credit quality of these assets is disclosed in note 3(a) while the    產的信貸質素披露於附註 3(a)。在報告日,
       maximum exposure to credit risk at the reporting date is the fair     最大的信貸風險是附註 3(b()ii)所列這些資
       value of these assets as stated in note 3(b)(ii). The Group does not  產的公允價值。集團並未持有任何抵押品作
       hold any collateral as security.                                      抵押。

10.	Inventories                                                              10.	 存貨

          The Group and HA                                                   At 31 March 2017        At 31 March 2016
          集團及醫管局                                                                         HK$’000                 HK$’000

        Drugs 藥物                                                              2017 年 3 月 31 日        2016 年 3 月 31 日
        Medical consumables 醫療消耗品                                                        港幣千元                   港幣千元
        General consumables 一般消耗品
                                                                                        1,073,311              1,053,654
                                                                                          195,139                183,227
                                                                                            28,032                 30,479

                                                                                        1,296,482              1,267,360

11.	Accounts receivable                                                      11.	 應收賬款

          The Group and HA                                                   At 31 March 2017        At 31 March 2016
          集團及醫管局                                                                         HK$’000                 HK$’000

        Bills receivable [note 11(a)] 應收賬單[附註 11(a)]                          2017 年 3 月 31 日        2016 年 3 月 31 日
        Accrued income 應計收入                                                              港幣千元                   港幣千元
        Less: Provision for impairment [note 11(b)]
        減:減值撥備[附註 11(b)]                                                                  361,952                362,968
                                                                                            28,235                 11,597

                                                                                          390,187                374,565
                                                                                           (63,949)               (58,159)

                                                                                          326,238                316,406

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