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HK Bourse: Results Announcement From Safety Godown Co. Ltd.
HK Bourse: Results Announcement From Safety Godown Co. Ltd.
DJ HK Bourse: Results Announcement From Safety Godown Co. Ltd.
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
(MORE TO FOLLOW) Dow Jones Newswires
June 26, 2020 08:54 ET (12:54 GMT)
DJ HK Bourse: Results Announcement From Safety Godown Co. Ltd.
DJ香港交易所:安全貨倉有限公司公佈業績。
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
欲覽全部詳情,請點擊以下鏈接:Https://www1.hkexnews.hk/listedco/listconews/sehk/2020/0626/2020062601150.pdf公佈2019/2020年度業績安全倉儲股份有限公司(以下簡稱“本公司”)董事會(以下簡稱“董事會”)特此通知公佈本公司及其附屬公司(統稱)的經審核綜合業績(以下為“集團”)截至2020年3月31日止年度:綜合損益表和其他全面損益表收入截至2020年3月31日止年度債券2019港元‘000港元137,612收入142,275 19,958倉庫業務收入24,411 96,651財產投資收益93,947 16,672利息收入16,866,4331股息收入7051(46271)其他損益(19,280)(19)匯兑損失,淨額(4537)8處置財產、廠房和設備的收益7(307600)(減少)投資性物業公允價值增加227,873(16,087)員工費用(15,493)(19,320)不動產、廠房和設備折舊(16283)(906)應收貿易賬款減值損失-(1,592)其他應收賬款減值損失-(25,102)其他開支(23,755)(279,277)5(虧損)税前利潤290,807(13,250)6税務(11,765)(292,527)(虧損)本年度本公司業主應占溢利279,042 1 2020債券2019港元‘000港元’000港元本年度不會重新分類為損益的其他全面收益項目:將業主自住物業70,673個物業轉讓給投資物業110,121的重估盈餘本年度公司業主應占綜合(開支)收入總額(221,854)389,163(2.17港元)8每股基本(虧損)盈利2.07港元2合併財務狀況表截至2020年3月31日債券2019港元‘000港元’000非流動資產3,351,900投資物業3,635,100宗233,559宗財產、廠房和設備188,980-攤銷成本為23,244 3,585,459 3,847,324的債務票據流動資產223,208持有交易的投資292,744 23,248攤銷成本債務工具-27,689 9 22,775貿易和其他應收款567可退税--610,190銀行存款757,584 26,016其他存款84,150 161,871銀行餘額和現金17,541,072,789 1,174,794流動負債30,641其他應付款32,249 18,333應繳税款20,335 48,974 52,584流動資產淨值1,023,815 1,122,210 4,609,274,969,534資本和儲備178,216股本178,216 4,341,239儲量4,708,893公司所有者應占權益4,519,455,887,109非流動負債18,401長期租户的按金已收到15,662,70,586遞延税項負債66,185 832長期服務金撥備578 89,819 82,425 4,609,274,969,534 3備註:1.編制基準綜合財務報表乃根據香港會計師公會(“香港會計師公會”)頒佈的香港財務報告準則(“香港財務報告準則”)編制。此外,綜合財務報表包括上市規則所要求的適用披露。
(MORE TO FOLLOW) Dow Jones Newswires
(更多後續報道)道瓊斯通訊社
June 26, 2020 08:54 ET (12:54 GMT)
2020年6月26日東部時間08:54(格林尼治標準時間12:54)
moomoo是Moomoo Technologies Inc.公司提供的金融資訊和交易應用程式。
在美國,moomoo上的投資產品和服務由Moomoo Financial Inc.提供,一家受美國證券交易委員會(SEC)監管的持牌主體。 Moomoo Financial Inc.是金融業監管局(FINRA)和證券投資者保護公司(SIPC)的成員。
在新加坡,moomoo上的投資產品和服務是通過Moomoo Financial Singapore Pte. Ltd.提供,該公司受新加坡金融管理局(MAS)監管(牌照號碼︰CMS101000) ,持有資本市場服務牌照 (CMS) ,持有財務顧問豁免(Exempt Financial Adviser)資質。本內容未經新加坡金融管理局的審查。
在澳大利亞,moomoo上的金融產品和服務是通過Futu Securities (Australia) Ltd提供,該公司是受澳大利亞證券和投資委員會(ASIC)監管的澳大利亞金融服務許可機構(AFSL No. 224663)。請閱讀並理解我們的《金融服務指南》、《條款與條件》、《隱私政策》和其他披露文件,這些文件可在我們的網站 https://www.moomoo.com/au中獲取。
在加拿大,透過moomoo應用程式提供的僅限訂單執行的券商服務由Moomoo Financial Canada Inc.提供,並受加拿大投資監管機構(CIRO)監管。
在馬來西亞,moomoo上的投資產品和服務是透過Moomoo Securities Malaysia Sdn. Bhd. 提供,該公司受馬來西亞證券監督委員會(SC)監管(牌照號碼︰eCMSL/A0397/2024) ,持有資本市場服務牌照 (CMSL) 。本內容未經馬來西亞證券監督委員會的審查。
Moomoo Technologies Inc., Moomoo Financial Inc., Moomoo Financial Singapore Pte. Ltd.,Futu Securities (Australia) Ltd, Moomoo Financial Canada Inc和Moomoo Securities Malaysia Sdn. Bhd., 是關聯公司。
風險及免責聲明
moomoo是Moomoo Technologies Inc.公司提供的金融資訊和交易應用程式。
在美國,moomoo上的投資產品和服務由Moomoo Financial Inc.提供,一家受美國證券交易委員會(SEC)監管的持牌主體。 Moomoo Financial Inc.是金融業監管局(FINRA)和證券投資者保護公司(SIPC)的成員。
在新加坡,moomoo上的投資產品和服務是通過Moomoo Financial Singapore Pte. Ltd.提供,該公司受新加坡金融管理局(MAS)監管(牌照號碼︰CMS101000) ,持有資本市場服務牌照 (CMS) ,持有財務顧問豁免(Exempt Financial Adviser)資質。本內容未經新加坡金融管理局的審查。
在澳大利亞,moomoo上的金融產品和服務是通過Futu Securities (Australia) Ltd提供,該公司是受澳大利亞證券和投資委員會(ASIC)監管的澳大利亞金融服務許可機構(AFSL No. 224663)。請閱讀並理解我們的《金融服務指南》、《條款與條件》、《隱私政策》和其他披露文件,這些文件可在我們的網站 https://www.moomoo.com/au中獲取。
在加拿大,透過moomoo應用程式提供的僅限訂單執行的券商服務由Moomoo Financial Canada Inc.提供,並受加拿大投資監管機構(CIRO)監管。
在馬來西亞,moomoo上的投資產品和服務是透過Moomoo Securities Malaysia Sdn. Bhd. 提供,該公司受馬來西亞證券監督委員會(SC)監管(牌照號碼︰eCMSL/A0397/2024) ,持有資本市場服務牌照 (CMSL) 。本內容未經馬來西亞證券監督委員會的審查。
Moomoo Technologies Inc., Moomoo Financial Inc., Moomoo Financial Singapore Pte. Ltd.,Futu Securities (Australia) Ltd, Moomoo Financial Canada Inc和Moomoo Securities Malaysia Sdn. Bhd., 是關聯公司。
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