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HK Bourse: Results Announcement From Safety Godown Co. Ltd.

HK Bourse: Results Announcement From Safety Godown Co. Ltd.

香港交易所:安全货仓有限公司公布业绩。
Dow Jones Newswires ·  2020/06/26 08:54

DJ HK Bourse: Results Announcement From Safety Godown Co. Ltd.

DJ香港交易所:安全货仓有限公司公布业绩。

For full details, please click on the following link:
https://www1.hkexnews.hk/listedco/listconews/sehk/2020/0626/2020062601150.pdf ANNUAL RESULTS ANNOUNCEMENT FOR 2019/2020
The Board of Directors (the "Board") of Safety Godown Company, Limited (the "Company") hereby
announces the audited consolidated results of the Company and its subsidiaries (collectively referred to
as the "Group") for the year ended 31 March 2020 as follows:
CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE
INCOME
FOR THE YEAR ENDED 31 MARCH 2020 2020 Notes 2019 HK$'000 HK$'000 137,612 3
Revenue 142,275 19,958
Income from godown operations 24,411 96,651
Income from property investment 93,947 16,672
Interest income 16,866 4,331
Dividend income 7,051 (46,271)
Other gains and losses (19,280) (19)
Exchange loss, net (4,537) 8
Gain on disposal of property, plant and equipment 7 (307,600)
(Decrease) increase in fair value of investment properties 227,873 (16,087)
Staff costs (15,493) (19,320)
Depreciation of property, plant and equipment (16,283) (906)
Impairment loss on trade receivables - (1,592)
Impairment loss on other receivables - (25,102)
Other expenses (23,755) (279,277) 5
(Loss) profit before taxation 290,807 (13,250) 6
Taxation (11,765) (292,527)
(Loss) profit for the year attributable to owners of the Company 279,042 1 2020 Notes 2019 HK$'000 HK$'000
Other comprehensive income for the year Item that will not be reclassified to profit or loss: Revaluation surplus on transfer of owner-occupied 70,673 properties to investment properties 110,121
Total comprehensive (expense) income for the year attributable (221,854) to owners of the Company 389,163 (HK$2.17) 8
Basic (loss) earnings per share HK$2.07 2
CONSOLIDATED STATEMENT OF FINANCIAL POSITION
AT 31 MARCH 2020 2020 Notes 2019 HK$'000 HK$'000
Non-current assets 3,351,900
Investment properties 3,635,100 233,559
Property, plant and equipment 188,980 -
Debt instrument at amortised cost 23,244 3,585,459 3,847,324
Current assets 223,208
Investments held for trading 292,744 23,248
Debt instrument at amortised cost - 27,689 9 22,775
Trade and other receivables 567
Tax recoverable - 610,190
Bank deposits 757,584 26,016
Other deposits 84,150 161,871
Bank balances and cash 17,541 1,072,789 1,174,794
Current liabilities 30,641
Other payables 32,249 18,333
Tax payable 20,335 48,974 52,584
Net current assets 1,023,815 1,122,210 4,609,274 4,969,534
Capital and reserves 178,216
Share capital 178,216 4,341,239
Reserves 4,708,893
Equity attributable to owners of the Company 4,519,455 4,887,109
Non-current liabilities 18,401
Long-term tenants' deposits received 15,662 70,586
Deferred tax liabilities 66,185 832
Provision for long service payments 578 89,819 82,425 4,609,274 4,969,534 3
NOTES:
1. BASIS OF PREPARATION The consolidated financial statements have been prepared in accordance with Hong Kong Financial Reporting Standards ("HKFRSs") issued by the Hong Kong Institute of Certified Public Accountants ("HKICPA"). In addition, the consolidated financial statements include applicable disclosures required by the Rules Governing the Listing of

欲览全部详情,请点击以下链接:Https://www1.hkexnews.hk/listedco/listconews/sehk/2020/0626/2020062601150.pdf公布2019/2020年度业绩安全仓储股份有限公司(以下简称“本公司”)董事会(以下简称“董事会”)特此通知公布本公司及其附属公司(统称)的经审核综合业绩(以下为“集团”)截至2020年3月31日止年度:综合损益表和其他全面损益表收入截至2020年3月31日止年度债券2019港元‘000港元137,612收入142,275 19,958仓库业务收入24,411 96,651财产投资收益93,947 16,672利息收入16,866,4331股息收入7051(46271)其他损益(19,280)(19)汇兑损失,净额(4537)8处置财产、厂房和设备的收益7(307600)(减少)投资性物业公允价值增加227,873(16,087)员工费用(15,493)(19,320)不动产、厂房和设备折旧(16283)(906)应收贸易账款减值损失-(1,592)其他应收账款减值损失-(25,102)其他开支(23,755)(279,277)5(亏损)税前利润290,807(13,250)6税务(11,765)(292,527)(亏损)本年度本公司业主应占溢利279,042 1 2020债券2019港元‘000港元’000港元本年度不会重新分类为损益的其他全面收益项目:将业主自住物业70,673个物业转让给投资物业110,121的重估盈余本年度公司业主应占综合(开支)收入总额(221,854)389,163(2.17港元)8每股基本(亏损)盈利2.07港元2合并财务状况表截至2020年3月31日债券2019港元‘000港元’000非流动资产3,351,900投资物业3,635,100宗233,559宗财产、厂房和设备188,980-摊销成本为23,244 3,585,459 3,847,324的债务票据流动资产223,208持有交易的投资292,744 23,248摊销成本债务工具-27,689 9 22,775贸易和其他应收款567可退税--610,190银行存款757,584 26,016其他存款84,150 161,871银行余额和现金17,541,072,789 1,174,794流动负债30,641其他应付款32,249 18,333应缴税款20,335 48,974 52,584流动资产净值1,023,815 1,122,210 4,609,274,969,534资本和储备178,216股本178,216 4,341,239储量4,708,893公司所有者应占权益4,519,455,887,109非流动负债18,401长期租户的按金已收到15,662,70,586递延税项负债66,185 832长期服务金拨备578 89,819 82,425 4,609,274,969,534 3备注:1.编制基准综合财务报表乃根据香港会计师公会(“香港会计师公会”)颁布的香港财务报告准则(“香港财务报告准则”)编制。此外,综合财务报表包括上市规则所要求的适用披露。

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June 26, 2020 08:54 ET (12:54 GMT)

2020年6月26日东部时间08:54(格林尼治标准时间12:54)

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