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HK Bourse: Results Announcement From Far East Hotels & Entertainment Ltd.

HK Bourse: Results Announcement From Far East Hotels & Entertainment Ltd.

香港交易所:远东酒店娱乐有限公司公布业绩。
Dow Jones Newswires ·  2020/06/30 12:10

DJ HK Bourse: Results Announcement From Far East Hotels & Entertainment Ltd.

DJ香港交易所:远东酒店娱乐有限公司公布业绩

For full details, please click on the following link:
https://www1.hkexnews.hk/listedco/listconews/sehk/2020/0630/2020063002638.pdf Announcement Final Results For The Year Ended 31 March 2020
RESULTS
The board of directors (the "Directors" and the "Board", respectively) of Far East Hotels and
Entertainment Limited (the "Company") announces that the audited consolidated financial results of the
Company and its subsidiaries (the "Group") for the year ended 31 March 2020 together with the relevant
comparative figures are set out as follows:
CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE
INCOME
FOR THE YEAR ENDED 31 MARCH 2020 NOTES 2020 2019 HK$ HK$
Revenue 2 48,935,816 52,379,154
Cost of sales (23,150,113) (38,881,989) __________ __________
Gross profit 25,785,703 13,497,165
Other income 965,419 873,361
Other gains or losses 3 (3,770,433) (8,206,871)
Net (decrease) increase in fair values of investment properties (32,175,408) 9,345,438
Selling expenses (1,455,491) (1,145,013)
Administrative expenses (17,268,705) (19,890,434)
Finance costs 4 (1,867,520) (813,191)
Share of results of associates 551,862 596,072 __________ __________
Loss before tax 7 (29,234,573) (5,743,473)
Income tax credit (expense) 5 5,190,399 (3,851,997) __________ __________
Loss for the year attributable to owners of the Company (24,044,174) (9,595,470) __________ __________
Other comprehensive income (expense):
Item that will not be reclassified to profit or loss:
Fair value gain on equity instrument at fair value through other comprehensive income ("FVTOCI") 21,422 -
Item that may be reclassified subsequently to profit or loss:
Exchange differences arising on translation of foreign operations (7,651,921) (3,457,890) __________ __________
Total comprehensive expense for the year attributable to owners of the Company (31,674,673) (13,053,360) __________ __________
LOSS PER SHARE 6 Basic (3.94) cents (1.57) cents __________ __________ Diluted (3.94) cents (1.57) cents __________ __________ __________ 1
CONSOLIDATED STATEMENT OF FINANCIAL POSITION
AT 31 MARCH 2020 NOTES 2020 2019 HK$ HK$
Non-current assets
Property, plant and equipment 30,665,995 61,973,925
Right-of-use assets 1,978,826 -
Deposits for capital expenditure 3,895,232 700,655
Investment properties 263,678,656 188,235,225
Interests in associates 857,829 1,055,967
Equity instrument at FVTOCI - -
Paintings 4,367,221 3,921,217 ___________ ___________ 305,443,759 255,886,989 ___________ ___________
Current assets
Financial assets at fair value through profit or loss (" FVTPL") 23,590,760 38,460,864
Inventories 309,381 314,842
Promissory notes receivables - 8,085,000
Trade receivables 8 8,183,982 1,109,100
Other receivables, deposits and prepayment 1,266,666 1,628,289
Pledged bank deposits 2,118,000 2,118,000
Bank deposits 5,474,053 6,994,637
Deposit held with a security broker company 5,564,000 2,253,429
Bank balances and cash 9,475,449 14,139,430 ___________ ___________ 55,982,291 75,103,591 ___________ ___________
Current liabilities
Trade and other payables and accruals 9 5,771,862 11,491,311
Contract liabilities 300,782 304,727
Deposits received 95,628 80,000
Amount due to an associate 293,381 678,381
Amounts due to related companies 675,731 679,121
Bank borrowings 16,699,810 16,911,478
Obligations under finance leases - 293,673
Lease liabilities 5,900,183 -
Tax payable 2,152,333 1,993,168 ___________ ___________ 31,889,710 32,431,859 ___________ ___________
Net current assets 24,092,581 42,671,732 ___________ ___________
Total assets less current liabilities 329,536,340 298,558,721 ___________ ___________ 2
CONSOLIDATED STATEMENT OF FINANCIAL POSITION - continued
AT 31 MARCH 2020 NOTES 2020 2019 HK$ HK$
Capital and reserves
Share capital 10 312,890,213 312,890,213
Reserves (16,265,430) (27,851,087) ___________ ___________ 296,624,783 285,039,126 ___________ ___________
Non-current liabilities

欲览全部详情,请点击以下链接:Https://www1.hkexnews.hk/listedco/listconews/sehk/2020/0630/2020063002638.pdf公布截至2020年3月31日的年度最终业绩结果远东酒店集团董事会(分别为“董事会”和“董事会”)娱乐有限公司(“本公司”)宣布本公司经审核之综合财务业绩截至2020年3月31日止年度本公司及其附属公司(“本集团”)连同有关比较数字如下:综合损益表和其他全面损益表收入截至2020年3月31日止年度票据2020 2019年港元收入2 48,935,816 52,379,154销售成本(23,150,113)(38,881,989)_毛利25,785,703 13,497,165其他收入965,419 873,361其他损益3(3,770,433)(8,206,871)投资性物业公允价值净(减少)增长(32,175,408)9,345,438销售费用(1,455,491)(1,145,013)行政费用(17268,705)(19890434)财务成本4(1,867,520)(813,191)联营公司业绩分享551,862,596,072_税前亏损7(29,234,573)(5,743,473)所得税抵免(费用)5,190,399(3,851,997)_本年度公司业主应占亏损(24,044,174)(9,595,470)_其他全面收入(费用):不会重新分类为损益的项目:通过其他全面收益按公允价值计算的权益工具的公允价值收益(“FVTOCI”)21,422-可随后重新分类为损益的项目:对外业务翻译汇兑差额(7,651,921)(3,457,890)_本年度公司业主应占综合开支总额(31,674,673)(13,053,360)_每股亏损6基本(3.94)美分(1.57)_1合并财务状况表于2020年3月31日票据2020,2019年港元非流动资产财产、厂房和设备30,665,995 61,973,925使用权资产1,978,826-资本支出存款3895,232 700,655投资物业263,678,656 188,235,225联营公司权益857,829 1,055,967FVTOCI的股权工具--油画4367,221 3,921,217_流动资产按公允价值计入损益的金融资产(“FVTPL”)23,590,760 38,460,864库存309,381 314,842应收本票-8,085,000应收贸易账款88,183,982 1,109,100其他应收款、押金和预付款1,266,666,1,628,289质押银行存款2,118,000 2,118,000银行存款5,474,053 6,994,637存放于证券经纪公司的存款5,564,000 2,253,429银行结余及现金9,475,449 14,139,430_流动负债贸易及其他应付款项和应计项目9 5,771,862 11,491,311合同负债300,782 304,727收到存款95,628,80,000应付联营公司的款项293,381 678,381应付关联公司的金额675,731 679,121银行借款16,699,810笔16,911,478融资租赁项下的债务--293,673租赁负债5,900,183-应缴税款2,152,333 1,993,168_流动资产净值24,092,581 42,671,732_总资产减去流动负债329,536,340 298,558,721_2综合财务状况表--续于2020年3月31日票据2020,2019年港元资本和储备股本10 312,890,213 312,890,213储量(16,265,430)(27,851,087)_非流动负债

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June 30, 2020 12:10 ET (16:10 GMT)

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