本季度信息
截至2025年10月31日止六个月,滙隆控股有限公司录得营收约39,537,000港元,同比下降约15.6%。同期经调整净利润(基于公告披露的溢利数据)约75,967,000港元,同比增幅约149%。毛利由上年同期的33,466,000港元降至25,405,000港元,毛利率从约71.5%下降至约64.3%。经营现金流方面,本期经营活动所用现金净额约负7,750,000港元,而上年同期则为正2,904,000港元。运营及行政费用约7,438,000港元,较上年同期的7,566,000港元下降约1.7%。
业务分项
集团分为“建筑及建造工程提供棚架搭建与精装修等辅助服务”“借贷业务”“证券投资业务”三大板块。棚架与精装修等相关服务期内营收约14,900,000港元,同比减少主要源于去年完成项目数量较多且本期新合约减少;借贷业务营收约24,600,000港元,较上年同期略有下滑,管理层表示将继续关注风控措施以保持资产品质;证券投资方面,因持有的香港上市证券公允价值变动明显上升,本期录得相关收益约74,400,000港元,与上年同期相比涨幅显著。
下个财报期展望
公告提及香港建筑与基建项目有望在未来继续为行业带来机遇,集团将保持审慎策略并根据市场变化调整资源配置,以期在建筑施工及借贷业务等方面进一步提升经营效率。
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