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
2024/06 - 中期
港元($)
與去年中期比較 2023/12
港元($)
2022/12
港元($)
2021/12
港元($)
2020/12
港元($)
利息收入136,029,0007.966%248,734,000233,944,000270,103,000304,256,000
利息支出(14,585,000)26.015%(25,182,000)(22,963,000)(35,977,000)(36,592,000)
淨利息收入121,444,0006.140%223,552,000210,981,000234,126,000267,664,000
其他經營收入5,042,000245.579%4,959,00010,094,0003,936,0005,666,000
經營收入總額126,486,0009.154%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126,486,0009.154%228,511,000221,075,000238,062,000273,330,000
經營支出(48,794,000)-5.818%(106,014,000)(101,486,000)(103,838,000)(98,083,000)
貸款減值損失(36,407,000)22.711%(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)41,285,00020.011%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)41,285,00020.011%66,740,00081,917,00092,304,000105,529,000
稅項(6,978,000)-15.140%(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)34,307,00031.053%51,566,00067,865,00077,082,00091,032,000
 
折舊及攤銷----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)6.860--13.42018.100----
每股派息 (仙)3.400--1.998------
派息比率 (%)49.563%--14.888%------
每股現金流 ($)------0.451----
每股帳面資產淨值 ($)1.810--1.762------
 

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