奥威控股于截至2025年12月31日止年度录得收入约人民币6.33亿元,较去年同期减少约人民币12.9百万元,降幅约2.0%。销售成本约人民币5.49亿元,毛利约人民币84.1百万元,同比增加约人民币7.2百万元,毛利率由11.9%升至13.3%。期内分销开支约人民币1.6百万元,行政开支约人民币93.3百万元,财务成本约人民币55.8百万元。年内亏损由去年同期的约人民币2.90亿元收窄至约人民币2.36亿元,每股基本亏损约人民币0.14元。报告期内的所得税抵免约人民币4.2百万元。
截至报告期末,本集团总资产约人民币11.13亿元,较去年同期的约人民币14.92亿元有所减少;资产净额约人民币4.55亿元,负债比率约54.1%,上升约7.2个百分点。存货约人民币90.3百万元,同比减少约18.7%,无形资产净值约人民币36.3百万元,物业、厂房及设备账面净值约人民币7.92亿元。现金及现金等价物约人民币37.1百万元,银行借款余额约人民币8.69亿元,综合借款利率介乎2.8%至7.5%。集团报告期内无派息,拥有全职雇员729名,薪酬成本约人民币66.8百万元。
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