嘉里建设2025年收入稳步增长,合约销售大幅攀升

公告速递
Yesterday

嘉里建设于报告期内合并收入为250.15亿元,相比上年度的213.61亿元提升17%。其中,物业销售收入为176.74亿元,同比增长28%;物业租赁及其他收入51.93亿元,同比微降3%;酒店运营收入21.48亿元,同比下降1%。毛利率从上年度的32%降至27%。 同期股东应占溢利为9.38亿元,上年度为8.08亿元,增长16%;年度溢利13.06亿元,而上年度则为15.12亿元。每股盈利由0.56港元上升至0.65港元,增幅16%。基础溢利为20.08亿元,相较上年度的25.76亿元下降22%。期内合约销售额为346.84亿元,上年度为126.05亿元,大幅增长175%。 报告期末负债比率为33.3%,较上年度的41.5%下降8.2个百分点。董事会宣派末期股息每股0.95港元,连同中期股息每股0.40港元,全年股息合计每股1.35港元,与上年度持平。期内集团净融资费用显著下降,税项则由上年度的10.70亿元变动至16.24亿元。公司继续在主要城市拓展物业组合与投资项目,并通过调整财务结构及负债比率加强资金状况。

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