伟仕佳杰(00856)2025年度收入突破97,626,188千港元 云计算分部同比大增29.1%

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伟仕佳杰(00856)公布截至二零二五年十二月三十一日止年度财务摘要。期内集团录得收入港币97,626,188千元,较上一年度的港币89,085,588千元增长,销售成本为港币93,272,414千元,毛利达港币4,353,774千元。其他收入净额为港币136,995千元,销售及分销开支和行政开支分别为港币1,779,046千元及港币725,342千元,带动经营溢利达到港币1,986,381千元。扣除财务费用港币368,025千元并加回分占联营公司溢利港币1,618,356千元后,除税前溢利为港币1,713,571千元,税项支出为港币278,039千元,最终年内溢利为港币1,435,532千元,其中归属于本公司权益持有人的溢利为港币1,353,492千元。每股基本盈利较上一年度增加至港币97.68仙。董事会建议派发末期股息总额港币600,000千元,相当于每股港币41.77仙。

分部方面,消费电子分部收入录得港币39,011,401千元,同比增长18.9%;企业系统分部取得港币53,534,032千元,较上年度上升2.3%;云计算分部收入为港币5,080,755千元,增幅达29.1%。按地区划分,北亚市场贡献收入港币61,875,034千元,东南亚市场收入则为港币35,751,154千元。

资产负债表显示,集团年末拥有非流动资产港币2,466,676千元及流动资产港币40,553,197千元,负债总额为港币32,604,252千元,流动比率约为1.31倍。流动资产净值为港币9,642,627千元,现金及银行结余约港币4,910,098千元,借款为港币8,795,163千元,净债项对总资产比率约为0.09。权益总额增至港币10,415,621千元,其中股本及储备为港币9,995,131千元,非控股权益为港币276,845千元。年内公司购回本公司股份2,098,000股,累计库存股数于年末达到6,638,000股。

董事会并建议向股东派发截至二零二五年十二月三十一日止年度末期股息每股港币41.77仙,尚待二零二六年五月二十六日股东大会批准后派付。截至报告期末,集团整体财务状况稳定,未见影响财务状况的重大事项。

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