大象控股集团有限公司2025年中期业绩:营收约3,199.2万港元,经调整净亏损约541.2万港元

公告速递
Nov 27, 2025

本期信息

截至2025年9月30日止六个月,大象控股集团有限公司录得营收约31,992千港元(约合3,199.2万港元),同比去年同期的9,209千港元增长约247.4%。经调整净亏损约5,412千港元(约合541.2万港元),去年同期为6,740千港元,同比减亏约19.7%。

期间经营活动所用现金净流出扩大至28,196千港元,去年同期为3,499千港元。成本结构方面,分包成本由去年同期的零增至本期约19,934千港元;售出存货成本由零增至1,680千港元;雇员福利开支则从8,859千港元下降至7,315千港元。

业务分项

本期收入主要来自于人工智能驱动的解决方案分部,该分部实现约22,149千港元的收入,贡献了整体增量;金融交易解决方案及其他资讯科技服务分部亦在新客户拓展方面带动收入上升。贵金属交易服务分部营收同比有所下降,但其实物及加密货币销售收入增加在一定程度上弥补了分部下滑。

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