01568 承達集團
公司資料 - 損益表
承達集團有限公司 股票編號: 01568
SUNDART HOLDINGS LIMITED 集團網址: http://www.sundart.com
2026/06 - 中期
港元(K$)
與去年中期比較 2025/12
港元(K$)
2024/12
港元(K$)
2023/12
港元(K$)
2022/12
港元(K$)
營業額 / 收益2,766,19921.174%5,135,7885,996,7775,461,3444,678,627
銷售成本(2,422,149)20.049%(4,451,091)(5,196,573)(4,765,129)(4,014,925)
毛利344,05029.739%684,697800,204696,215663,702
 
投資物業公平值變動及減值------------
其他項目公平值變動及減值(25,556)--(57,778)(53,011)(17,013)(31,447)
出售項目溢利 / (虧損)----------19,700
其他非經營項目------------
分佔聯營公司及共同控制公司業績(9,086)--5,43558(5,028)(10,998)
除稅前溢利 / (虧損)183,56617.825%310,172389,274384,897336,379
稅項(32,781)57.359%(44,087)(68,477)(54,629)(48,849)
已終止經營業務溢利 / (虧損)------------
非控股權益54437.722%1,191000
其他項目------------
股東應佔溢利 / (虧損)151,32911.799%267,276320,797330,268287,530
 
淨財務支出 / (收入)(15,714)-40.760%(43,617)(48,366)(35,454)(14,334)
折舊及攤銷23,58525.720%34,92931,94032,58429,189
董事酬金------26,30126,16931,302
 
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--12.38014.86015.30013.320
每股派息 (仙)0.000--5.00020.0000.0006.000
派息比率 (%)----40.388%134.590%--45.045%
每股現金流 ($)----0.0850.3760.1860.025
每股帳面資產淨值 ($)1.712--1.6751.7261.5951.505
 

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