As at June 30, 2011
  Notes June 30
2011
US$’000
(Unaudited)
December 31
2010
US$’000
(Audited)
ASSETS
Non-current assets
Property, plant and equipment
Lease prepayments
Goodwill
Intangible assets
Interests in associates
Available-for-sale investments
Deferred tax assets


9 & 16


9


354,340
36,179
532,888
356,775
24,259
1,272
78,880


339,437
35,475
529,884
353,431
24,062
1,267
68,527
  1,384,593 1,352,083
Current assets
Inventories
Trade and other receivables
Deposits and prepayments
Bills receivable
Tax recoverable
Trade receivables from an associate
Derivative financial instruments
Held-for-trading investments
Bank balances, deposits and cash


10

10

800,827
712,559
78,191
29,597
12,080
202
6,838
9,994
524,583

644,510
617,988
66,915
38,875
10,995
38
10,883
10,732
512,893
  2,174,871 1,913,829
Current liabilities
Trade and other payables
Bills payable
Warranty provision
Trade payables to an associate
Tax payable
Derivative financial instruments
Restructuring provision
Dividend payable
Obligations under finance leases – due within one year
Discounted bills with recourse
Unsecured borrowings – due within one year
Convertible bonds
Bank overdrafts

11
11








12
13

678,684
47,534
47,709
3,620
20,068
13,322
10,414
12,905
2,667
550,254
252,062
130,442
26,248

483,265
55,207
47,702
4,127
7,578
4,949
22,981

2,963
411,095
361,055

22,350
  1,795,929 1,423,272
Net current assets   378,942 490,557
Total assets less current liabilities   1,763,535 1,842,640
CAPITAL AND RESERVES
Share capital
Reserves

14

20,603
1,178,058

20,598
1,094,161
Equity attributable to owners of the Company
Non-controlling interests
  1,198,661
15,394
1,114,759
14,948
Total equity   1,214,055 1,129,707
NON-CURRENT LIABILITIES
Obligations under finance leases – due after one year
Unsecured borrowings – due after one year
Convertible bonds
Retirement benefit obligations
Deferred tax liabilities


12
13

4,709
422,516

95,259
26,996

5,714
466,358
127,225
90,694
22,942
  549,480 712,933
Total equity and non-current liabilities   1,763,535 1,842,640