劍虹集團控股截至2025年9月30日中期营收2,832万港元,经调整净利润1.52亿港元

公告速递
Nov 28, 2025

本季度信息

报告期内,剔除已终止业务口径后,劍虹集團控股实现营收2,832.0万港元,较上年同期的69.4万港元增长约39.8倍。若将上年同期已终止的香港地基及建築服务业务纳入对比,则去年同期营收约7,506.8万港元。由于本期不再并表该部分业务,合并口径的同比基数出现差异。经调整净利润1.52亿港元,同比由上年同期亏损转为盈利。毛利率由上年同期的13.5%下降至本期的6.1%。经营现金流由上一财年同期的流出1,246.3万港元转为本期流入2,753.2万港元。

成本结构方面,行政及其他经营费用约865.7万港元,较上一财年同期增加161.3%,主要由于中国内地化工业务的并表及业务拓展投入。集团未披露研发投入占比信息。

业务分项

地基及建築服务(中国内地)收入约1,907.8万港元。公司在内地共有4个在建项目,其中1个于期内完工并新获1个项目。化工业务方面(包括NMP溶液受托加工及生产销售),本期实现收入924.2万港元;该板块正逐步拓展危废处理与再生资源回收等领域,近期已与多家重要客户建立战略合作。

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