00014 希慎興業
公司資料 - 損益表
希慎興業有限公司 股票編號: 00014
HYSAN DEVELOPMENT CO. LTD. 集團網址: http://www.hysan.com.hk
2025/06 - 中期
港元(K$)
與去年中期比較 2024/12
港元(K$)
2023/12
港元(K$)
2022/12
港元(K$)
2021/12
港元(K$)
營業額 / 收益1,730,0002.185%3,409,0003,210,0003,460,0003,608,000
銷售成本(304,000)6.294%(646,000)(621,000)(567,000)(499,000)
毛利1,426,0001.350%2,763,0002,589,0002,893,0003,109,000
 
投資物業公平值變動及減值(964,000)389.340%(1,506,000)(2,763,000)(3,213,000)(720,000)
其他項目公平值變動及減值----(19,000)(267,000)(1,000)--
出售項目溢利 / (虧損)------------
其他非經營項目------------
分佔聯營公司及共同控制公司業績108,000--(83,000)233,000222,000455,000
除稅前溢利 / (虧損)252,000-71.200%567,000(731,000)(607,000)2,261,000
稅項(155,000)-1.899%(296,000)(295,000)(342,000)(358,000)
已終止經營業務溢利 / (虧損)------------
非控股權益232,000--182,000596,000242,000(61,000)
其他項目(254,000)18.692%(418,000)(442,000)(450,000)(459,000)
股東應佔溢利 / (虧損)75,000-82.436%35,000(872,000)(1,157,000)1,383,000
 
淨財務支出 / (收入)197,00066.949%316,000256,000278,000301,000
折舊及攤銷22,00029.412%36,00033,00032,00029,000
董事酬金----37,41937,85241,43239,544
 
核數師意見不適用--無保留意見無保留意見無保留意見無保留意見
 
市場價值指標
每股盈利 (仙)7.000--3.000-85.000-112.000133.000
每股派息 (仙)27.000--108.000108.000144.000144.000
派息比率 (%)385.714%--3,600.000%----108.271%
每股現金流 ($)----2.2942.1492.3262.385
每股帳面資產淨值 ($)63.467--64.25865.41568.35471.423
 

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