港通控股(00032)2025年度收入下滑 但整体溢利大幅增长

公告速递
Mar 20

港通控股(00032)于2025年度录得收入港币929,592千元,较2024年度的港币976,551千元有所减少。同时,期内其它收益增加至港币468,529千元,上年同期为港币249,709千元。直接成本及经营费用和销售及推广费用分别为港币328,023千元及港币41,426千元,行政及公司费用为港币256,263千元。

本年度经营溢利达港币832,409千元,上一年度为港币574,681千元;除税前溢利港币834,939千元,上一年度为港币563,163千元。扣除所得税港币49,745千元后,本年度持续经营业务溢利为港币785,194千元,相比2024年度的港币517,466千元有所上升;加上已终止经营业务的溢利港币18,694千元(上一年度为港币3,442千元),合并后本年度溢利合共港币803,888千元,上年同期则为港币520,908千元。

本年度归属普通股权益持有人部分的溢利为港币723,534千元,上一年度为港币434,510千元。每股基本盈利为港币1.94元,上年同期为港币1.17元,其中持续经营业务每股基本盈利港币1.89元,上一年度为港币1.16元,已终止经营业务每股基本盈利港币0.05元,上一年度为港币0.01元。

于2025年12月31日,非流动资产合计港币4,283,729千元,流动资产合计港币4,652,702千元,总资产减流动负债后为港币8,376,899千元。同期非流动负债港币108,937千元,资产净值港币8,267,962千元。其中,归属普通股权益持有人部分为港币8,067,209千元,非控股股东权益港币200,753千元。

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