Major Investments - Telecommunications, Media & Technology by Market Capitalisation (USD'm)

 

Major Investments - Telecommunications, Media & Technology

Sources:

  1. Financials for the companies are based on their respective annual filings.
  2. EVA figures are provided by the respective companies, except for the following, which are calculated by Temasek based on their respective annual filings: AIA Group, Bank of China, China Construction Bank, China Pacific Insurance (Group), DBS Group, Industrial and Commercial Bank of China, Lloyds Banking Group, Ping An Insurance (Group), Prudential plc, PT Bank Danamon Indonesia, Standard Chartered, Markit, Alibaba Group, Bharti Airtel, A.S. Watson, BG Group, MEG Energy, Repsol, Turquoise Hill Resources, Celltrion, Gilead Sciences and Thermo Fisher Scientific.
  3. Market relevant information is sourced from Bloomberg, Stock Exchanges and public filings by companies.

Glossary

Market Capitalisation = Market value as at 31 March 2015 and 31 March 2014
Shareholder Equity = Shareholder equity reported by the respective companies based on their annual filings
PATMI = Profit/(Loss) after tax and non-controlling interests
Dividends Declared = Dividends declared during the respective financial year of the companies
EVA = Economic Value Added, attributable to investors
TSR = Total Shareholder Return
NA = Not applicable
Market Capitalisation or Shareholder Equity: For listed companies, 2015 refers to positions as at 31 March 2015. For unlisted companies, 2015 refers to positions as at 31 March 2015 or 31 December 2014, in accordance with their respective financial year ends. Similarly for 2014.
Key Figures: FY2014 refers to financial year ended March 2015 or December 2014 or November 2014 or June 2014, in accordance with the respective financial year ends of the companies. Similarly for FY2013. Revenue for Financial Services consists of net interest income and other operating revenue.
TSR: For listed companies, source is Bloomberg.
Period for one-year TSR is from 31 March 2014 to 31 March 2015.
Period for three-year TSR is from 31 March 2012 to 31 March 2015.
Period for five-year TSR is from 31 March 2010 to 31 March 2015.
For unlisted companies, shareholder equity is used in the computations. TSR is based on shareholder equity as at their respective financial year ends.
Percentages rounded to the nearest whole number.
Figures in USD'm.
Figures in RMB'm.
Information not available.
Market information based on date from the National Stock Exchange of India Ltd. using the ticker "BHARTI IN".
TSR from listing dates until 31 March 2015.
Represent dividends paid.
Restated or reclassified by respective companies, which include effects of changes to accounting standards.