For the year ended December 31, 2011

Attributable to Owners of the Company Attributable to non- controlling interests
Share capital Share premium Capital redemption reserve Convertible bonds equity reserve Warrant reserve Translation reserve Employee share-based compensation reserve Retained profits Total Share of net assets of subsidaries Total
US$’000 US$’000 US$’000 US$’000 US$’000 US$’000 US$’000 US$’000 US$’000 US$’000 US$’000
                     
At January 1, 2010 20,401 446,078 56 8,833 13,942 (10,581) 6,174 551,246 1,036,149 14,078 1,050,227
Profit for the year 94,890 94,890 871 95,761
Exchange differences on translation of foreign operations 1,880 1,880 (1) 1,879
Other comprehensive income for the year 1,880 1,880 (1) 1,879
Total comprehensive income for the year 1,880 94,890 96,770 870 97,640
Share issued at premium on exercise of options 6 516 (92) 430 430
Share issued at premium on exercise of warrants 191 13,272 (3,717) 9,746 9,746
Repurchase of warrants (10,225) (2,832) (13,057) (13,057)
Recognition of equity-settled share-based payments 2,205 2,205 2,205
Lapse of share options (836) 836
Acquisition of additional interest in a subsidiary (496) (496) (496)
Final dividend - 2009 (9,266) (9,266) (9,266)
Interim dividend - 2010 (7,722) (7,722) (7,722)
At December 31, 2010 20,598 459,866 56 8,833 (8,701) 7,451 626,656 1,114,759 14,948 1,129,707
Profit for the year 150,826 150,826 106 150,932
Exchange differences on translation of foreign operations 5,588 5,588 55 5,643
Other comprehensive income for the year 5,588 5,588 55 5,643
Total comprehensive income for the year 5,588 150,826 156,414 161 156,575
Share issued at premium on exercise of options 6 506 (91) 421 421
Repurchase of shares (71) 71 (3,817) (3,817) (3,817)
Recognition of equity-settled share-based payments 1,053 1,053 1,053
Lapse of share options (1,805) 1,805
Final dividend - 2010 (12,907) (12,907) (12,907)
Interim dividend - 2011 (10,347) (10,347) (6,557) (16,904)
At December 31, 2011 20,533 460,372 127 8,833 (3,113) 6,608 752,216 1,245,576 8,552 1,254,128