中国恒有源集团(08128)2025年度:收入下降,年内溢利缩减

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中国恒有源集团(08128)公布截至二零二五年十二月三十一日止年度经营概况,年内收入约47,835,000港元,相较上年度的69,629,000港元有所下降。公司主营包括浅层地热能利用系统、空气能/浅层地热能热泵及物业投资开发等,其中浅层地热能利用系统在报告期内产生约42,315,000港元的建筑服务收入和27,930,000港元的运行维护收入,而空气能/浅层地热能热泵收入约153,000港元,物业投资及开发收入约5,367,000港元。受主营业务收入减少等影响,年内整体销售成本降至约35,393,000港元,毛利约12,442,000港元,毛利率约26.02%。

公司本年度录得年内溢利约6,163,000港元,上年度则为约11,293,000港元;除税前(亏损)/溢利由上年度约10,941,000港元转为本年度约(5,135,000)港元,每股盈利约0.16港仙(上年度约0.24港仙)。其他收入及收益约28,338,000港元,较上年度的26,626,000港元有所增加,主要源自利息收入、销售废料、政府补助、股息收入及获豁免应付款项收入等。报告期销售及分销开支约2,672,000港元,行政开支约36,277,000港元,均较上年度有所减少。

于综合财务状况方面,公司非流动资产约383,195,000港元,流动资产约431,929,000港元,总资产约815,124,000港元;流动负债约417,372,000港元,非流动负债约102,447,000港元,总负债约519,819,000港元,资产净值约295,305,000港元。流动资产(负债)净额约14,557,000港元,较上年度的约(10,168,000)港元明显改善,期末现金及现金等价物约38,247,000港元。整体负债比率由上年度约49.0%下降至约47.0%。

年内公司回购股份34,448,000股,总对价约1,382,576港元,相关股份用作库存股份持有及日后可能进行再出售或转让。本年度董事会并无建议派发末期股息(上年度:无),亦未出现任何重大资本承擔或资产抵押。管理层持续关注流动资金与业务发展需求,通过优化融资与投资结构,为后续服务和产品升级提供所需资源。

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