02483 K CASH集團
公司資料 - 損益表
K CASH集團有限公司 股票編號: 02483
K CASH CORPORATION LIMITED 集團網址: http://www.kcash.hk
2024/12 - 末期
港元($)
變動 2023/12
港元($)
2022/12
港元($)
2021/12
港元($)
2020/12
港元($)
利息收入281,597,00013.212%248,734,000233,944,000270,103,000304,256,000
利息支出(31,036,000)23.247%(25,182,000)(22,963,000)(35,977,000)(36,592,000)
淨利息收入250,561,00012.082%223,552,000210,981,000234,126,000267,664,000
其他經營收入9,629,00094.172%4,959,00010,094,0003,936,0005,666,000
經營收入總額260,190,00013.863%228,511,000221,075,000238,062,000273,330,000
保險索償淨額及保單持有人負債變動0--0000
經營收入淨額260,190,00013.863%228,511,000221,075,000238,062,000273,330,000
經營支出(108,800,000)2.628%(106,014,000)(101,486,000)(103,838,000)(98,083,000)
貸款減值損失(77,364,000)38.752%(55,757,000)(37,672,000)(41,920,000)(69,718,000)
其他減值損失0--0000
經營溢利/(虧損)74,026,00010.917%66,740,00081,917,00092,304,000105,529,000
投資物業公平值變動及減值0--0000
其他項目公平值變動及減值0--0000
出售項目溢利/(虧損)0--0000
其他非經營項目0--0000
分佔聯營公司及共同控制公司業績0--0000
除稅前溢利/(虧損)74,026,00010.917%66,740,00081,917,00092,304,000105,529,000
稅項(10,272,000)-32.305%(15,174,000)(14,052,000)(15,222,000)(14,497,000)
已終止經營業務溢利/(虧損)------------
非控股權益0--0000
其他項目------------
股東應佔溢利/(虧損)63,754,00023.636%51,566,00067,865,00077,082,00091,032,000
 
折舊及攤銷13,448,0009.298%12,304,00014,624,00010,907,0006,901,000
董事酬金------14,697,00023,621,00019,884,000
 
核數師意見無保留意見--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)12.750--13.42018.100----
每股派息 (仙)8.900--1.998------
派息比率 (%)69.804%--14.888%------
每股現金流 ($)------0.451----
每股帳面資產淨值 ($)1.835--1.762------
 

Copyright © 2025 ET Net Limited.
All rights reserved. Use of this site signifies your agreement to the terms of use.
DISCLAIMER: ET Net Limited and Third Party Information Providers endeavour to ensure the accuracy and reliability of the information provided, but do not guarantee its accuracy and reliability and accept no liability (whether in tort or contract or otherwise) for any loss or damage arising from any inaccuracies or omissions.