You are browsing the Hong Kong website, Regulated by Hong Kong SFC (CE number: BJA907). Investment is risky and you must be cautious when entering the market.
粵海投資(00270.HK)公佈年度業績 綜合溢利達31.42億港元 末期息7.27港仙
格隆匯 03-24 21:07

格隆匯3月24日丨粵海投資(00270.HK)公告,截至2024年12月31日止年度,公司持續經營業務綜合收入爲185.05億港元,集團2024年歸屬於公司所有者的綜合溢利爲31.42億港元(2023年:31.22億港元),較2023年增加0.6%。每股基本盈利爲港幣48.06仙,董事會現建議派發截至2024年12月31日止年度末期股息每股港幣7.27仙。上述股息加上於2024年10月已派發的中期股息每股港幣23.97仙,全年合共派息爲每股港幣31.24仙(2023年:港幣31.04仙)。

集團附屬公司及聯營公司營運中的供水廠的供水能力和污水處理廠的污水處理能力於2024年12月31日分別爲每日10,836,800噸(2023年:每日10,486,800噸)及每日2,054,400噸(2023年:每日2,054,400噸)。此外,集團附屬公司在建中的供水廠的供水能力和污水處理廠的污水處理能力於2024年12月31日分別爲每日1,187,000噸及每日50,000噸。

於2024年12月31日,集團持續經營業務的資本負債率爲30.9%(2023年:77.3%),主要是粵海置地的淨財務借貸已轉移至持作分派的資產╱負債。集團的債務還本付息狀況穩健,於2024年12月31日的EBITDA╱已發生的財務費用比率爲10.5倍(2023年:9.4倍(經重列))。

截至2024年12月31日止年度經營活動的淨現金流入約爲110.86億港元(2023年:107.11億港元)。粵海置地本年錄得經營活動的淨現金流入約爲19.36億港元(2023年:36.07億港元)。集團現時的現金資源,加上集團是經營業務產生穩定的現金流量,足以應付集團履行其債務責任及業務經營所需。

公司表示,集團將以「優存量、拓增量、提品質」爲原則,集中資源把水務業務在鞏固擴大規模的基礎上向高技術含量、高附加值領域延伸佈局,物業投資業務聚焦提升存量資產運營水平,酒店經營及管理業務推動精益管理和模式創新增添溢利,百貨零售業務發揮品牌優勢並探索電商融合路徑踊躍拓展新的市場空間,電力業務多管道開源節流、挖潛增效,路橋業務持續做好引流增收、安全養護,把握「粵港澳大灣區發展規劃綱要」重大戰略機遇所帶來的潛在發展機遇,積極承擔社會責任,踐行可持續發展理念,全力提升公司經營業績及整體價值。

Follow us
Find us on Facebook, Twitter , Instagram, and YouTube or frequent updates on all things investing.Have a financial topic you would like to discuss? Head over to the uSMART Community to share your thoughts and insights about the market! Click the picture below to download and explore uSMART app!
Disclaimers
uSmart Securities Limited (“uSmart”) is based on its internal research and public third party information in preparation of this article. Although uSmart uses its best endeavours to ensure the content of this article is accurate, uSmart does not guarantee the accuracy, timeliness or completeness of the information of this article and is not responsible for any views/opinions/comments in this article. Opinions, forecasts and estimations reflect uSmart’s assessment as of the date of this article and are subject to change. uSmart has no obligation to notify you or anyone of any such changes. You must make independent analysis and judgment on any matters involved in this article. uSmart and any directors, officers, employees or agents of uSmart will not be liable for any loss or damage suffered by any person in reliance on any representation or omission in the content of this article. The content of this article is for reference only. It does not constitute an offer, solicitation, recommendation, opinion or guarantee of any securities, financial products or instruments.The content of the article is for reference only and does not constitute any offer, solicitation, recommendation, opinion or guarantee of any securities, virtual assets, financial products or instruments. Regulatory authorities may restrict the trading of virtual asset-related ETFs to only investors who meet specified requirements.
Investment involves risks and the value and income from securities may rise or fall. Past performance is not indicative of future performance.
uSMART
Wealth Growth Made Easy
Open Account