ESR AR 2021 (EN)

NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS 31 December 2021 14. RIGHT-OF-USE ASSETS Office premises Equipment Total US$’000 US$’000 US$’000 31 December 2021 At 1 January 2021: Cost 23,049 3,498 26,547 Accumulated depreciation (13,553) (519) (14,072) Net carrying amount 9,496 2,979 12,475 At 1 January 2021, net of accumulated depreciation 9,496 2,979 12,475 Additions 3,482 376 3,858 Depreciation provided during the year (6,360) (179) (6,539) Disposal (250) – (250) Exchange realignment (302) (302) (604) At 31 December 2021, net of accumulated depreciation 6,066 2,874 8,940 At 31 December 2021: Cost 25,552 3,517 29,069 Accumulated depreciation (19,486) (643) (20,129) Net carrying amount 6,066 2,874 8,940 31 December 2020 At 1 January 2020: Cost 18,715 3,314 22,029 Accumulated depreciation (9,872) (326) (10,198) Net carrying amount 8,843 2,988 11,831 At 1 January 2020, net of accumulated depreciation 8,843 2,988 11,831 Additions 6,351 – 6,351 Depreciation provided during the year (6,062) (169) (6,231) Disposal (1) – (1) Exchange realignment 365 160 525 At 31 December 2020, net of accumulated depreciation 9,496 2,979 12,475 At 31 December 2020: Cost 23,049 3,498 26,547 Accumulated depreciation (13,553) (519) (14,072) Net carrying amount 9,496 2,979 12,475 R E A C H I N G N E W H E I G H T S 184

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