本期信息
截至2025年9月30日止六个月,德萊建業集团实现营收260,300,000港元,同比增长约44.1%。经调整净亏损16,200,000港元,对比上年同期的13,800,000港元,亏损规模扩大约17.4%。毛利为4,782,000港元,毛利率约1.84%,对比上年同期的2.49%有所下降。期内经营活动所用现金流净额为2,140,000港元,较上年同期的28,112,000港元显著改善。公司行政开支保持平稳,整体成本结构变化不大。
业务分项
报告期内,楼宇建造业务收入由上年同期的约164,800,000港元增长至约242,900,000港元,增幅约47.4%。改建及加建、保养、维修工程(RMAA)业务收入约17,500,000港元,对比上年同期的约15,900,000港元增长约10%。
下个财报期展望
公司在公告中提及,目前宏观环境仍具不确定性,私营建筑活动趋于审慎,而公共基建项目需求预计继续上升。公司计划继续优化成本结构和业务布局,以应对市场竞争并寻求新的发展机会。
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