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HK Bourse: Results Announcement From Noble Century Investment Holdings Ltd. -2-

HK Bourse: Results Announcement From Noble Century Investment Holdings Ltd. -2-

香港交易所:來寶世紀投資控股有限公司公佈業績-2-
Dow Jones Newswires ·  2020/06/29 18:09

DJ HK Bourse: Results Announcement From Noble Century Investment Holdings Ltd.

DJ香港交易所:來寶世紀投資控股有限公司公佈業績

For full details, please click on the following link:
https://www1.hkexnews.hk/listedco/listconews/sehk/2020/0630/2020063000033.pdf ANNOUNCEMENT OF RESULTS FOR THE YEAR ENDED 31 MARCH 2020
The board of directors (the "Board") of Hong Kong ChaoShang Group Limited (formerly
known as "Noble Century Investment Holdings Limited") (the "Company") is pleased to
announce the results of the Company and its subsidiaries (together, the "Group") for the year
ended 31 March 2020, together with comparative figures for the previous financial year, as
follows: 1
CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER
COMPREHENSIVE INCOME
For the year ended 31 March 2020 2020 2019 HK$ '000 HK$ '000 Note Restated
CONTINUING OPERATIONS 238,518 3
Revenue 105,088 (158,628) 6
Cost of sales (67,138) 79,890
Gross profit 37,950 4,279 5
Other income 3,920 -
Loss on disposal of subsidiaries (5,458)
(Loss)/Gain on changes in fair value (38,438) of held-for-trading investments 5,935
Realised (loss)/gain on disposal of (1,068) held-for-trading investments 4,229
Unrealised (loss)/gain on changes in (2,128) fair value of investment property 297
Unrealised loss on changes in fair value (588) of other financial assets - (1,953)
Impairment loss on trade receivables (32,648)
Impairment loss on deposits, prepayments and (581) other receivables (840) (414)
Impairment loss on finance lease receivables (21)
(Impairment loss)/Reversal of impairment (929) loss on loan and interest receivables 493 (278)
Impairment loss on factoring receivables - (46,251) 6
Administrative expenses (35,769) (8,459)
Operating loss from continuing operations (21,912) (1,451)
Finance costs - (9,910)
Loss before taxation from continuing operations (21,912) (12,535) 7
Taxation charge (7,909) (22,445)
Loss for the year from continuing operations (29,821) 2 2020 2019 HK$ '000 HK$ '000 Note Restated
DISCONTINUED OPERATION (797)
Loss for the year (6,207)
Gain on disposal of equity interest in discontinued operation before release of foreign currency 1,149 15 translation reserve, net of income tax -
Release of foreign currency translation reserve on 1,330 15 discontinued operation upon disposal -
Profit/(loss) for the year from discontinued 1,682 operation (6,207) (20,763)
Loss for the year (36,028)
Other comprehensive loss:
Items that will not be reclassified to profit or loss: - Gain on revaluation of property, plant and equipment upon transfer to investment - property 9,659 - Deferred tax liability on recognition of revaluation of property, plant and equipment - upon transfer to investment property (2,414)
Items that may be reclassified subsequently to profit or loss: - Exchange differences arising on (45,093) translation of foreign operations (48,056) (45,093)
Other comprehensive loss for the year (40,811) (65,856)
Total comprehensive loss for the year (76,839) 3 2020 2019 HK$ '000 HK$ '000 Note Restated
Loss for the year attributable to: (19,469) Owners of the Company (32,167) (1,294) Non-controlling interests (3,861) (20,763)
Loss for the year (36,028)
Total comprehensive loss for the year attributable to: (65,366) Owners of the Company (73,324) (490) Non-controlling interests (3,515) (65,856)
Total comprehensive loss for the year (76,839)
LOSS PER SHARE ATTRIBUTABLE TO ORDINARY EQUITY HOLDERS OF THE COMPANY
Basic and diluted (0.51) cents 9 - For loss for the year (0.87) cents (0.55) cents 9 - For loss from continuing operations (0.71) cents 4
CONSOLIDATED STATEMENT OF FINANCIAL POSITION
As at 31 March 2020 2020 2019 HK$ '000 HK$ '000 Note
ASSETS
Non-current assets 47,903 Property, plant and equipment 55,322 42,946 Investment property 48,321 23,438

欲覽全部詳情,請點擊以下鏈接:Https://www1.hkexnews.hk/listedco/listconews/sehk/2020/0630/2020063000033.pdf宣佈截至2020年3月31日的年度業績香港潮商集團有限公司(前稱“潮商集團”)的董事局(下稱“董事局”)名為“來寶世紀投資控股有限公司”)(“本公司”)很高興公佈本年度本公司及其附屬公司(統稱“集團”)的業績截至2020年3月31日止,連同上一財政年度的比較數字如下詳情如下:1綜合損益表及其他綜合收益截至2020年3月31日止年度2019年‘000港元’000票據重申繼續運營238,5183 3收入105,088(158,628)6銷售成本(67,138)79,890毛利37,950 4,279 5其他收入3920-出售子公司虧損(5458)持有交易投資的(虧損)/公允價值變動收益(38438)5935出售(1,068)持有交易投資的已變現(虧損)/收益4,229投資物業(2,128)公允價值變動的未變現(虧損)/收益297其他金融資產公允價值變動的未實現虧損(588)-(1,953)應收貿易賬款減值損失(32,648)存款、預付款和(581)其他應收款的減值損失(840)(414)融資租賃應收賬款減值損失(21)(減值損失)/減值沖銷(929)貸款和應收利息損失493(278)保理應收賬款減值損失-(46,251)6行政費用(35769)(8459)持續運營的營業虧損(21,912)(1,451)融資成本-(9910)持續業務税前虧損(21,912)(12,535)7税費(7,909)(22,445)本年度持續經營虧損(29,821)2 2020 2019年‘000港元’000港元票據重申停止運營(797)全年虧損(6207)在釋放外幣1,149 15換算儲備前處置非持續經營的股權所得,扣除所得税後的淨額-1,330 15處置停止業務時釋放外幣折算儲備-本年度中止的1,682項業務的利潤/(虧損)(6,207)(20,763)全年虧損(36,028)其他全面虧損:不會重新歸類為損益的項目:-轉移到投資時的財產、廠房和設備的重估收益-財產9659-在確認財產、廠房和設備重估時的遞延納税義務-轉移到投資財產時(2414)隨後可能重新分類為損益的項目:-對外業務翻譯產生的匯兑差額(45,093)(48,056)(45,093)全年其他綜合虧損(40,811)(65,856)年內全面虧損總額(76,839)3 2020 2019年‘000港元’000港元票據重現本年度虧損可歸因於:(19,469)公司所有者(32,167)(1,294)非控股權益(3,861)(20,763)全年虧損(36,028)本年度可歸因於:(65,366)公司所有者(73,324)(490)非控股權益(3,515)(65,856)的全面虧損總額全年綜合虧損總額(76,839)公司普通股股東應占每股虧損基本和稀釋後(0.51)美分9-全年虧損(0.87)美分(0.55)美分9-持續運營虧損(0.71)美分4合併財務狀況表截至2020年3月31日2019年‘000港元’000票據資產非流動資產47,903財產、廠房和設備55,322 42,946投資性財產48,321 23,438

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June 29, 2020 18:08 ET (22:08 GMT)

2020年6月29日美國東部時間18:08(格林尼治標準時間22:08)

DJ HK Bourse: Results Announcement From Noble Century Investment Holdings Ltd. -2-

DJ香港交易所:來寶世紀投資控股有限公司公佈業績-2-

Right-of-use assets - 76,695 Goodwill 1,000 21,500 Intangible assets - 230 Other non-current assets - 356 Other financial assets - 65,011 10 Finance lease receivables 109,482 278,079 214,125
Current assets - Inventories 23 294,174 11 Trade receivables 154,649 26,762 Factoring receivables 8,178 24,945 Deposits, prepayments and other receivables 18,327 17,100 Held-for-trading investments 70,599 110,867 10 Finance lease receivables 112,795 72,951 12 Loan and interest receivables 87,485 10 Tax recoverable - 35,787 Cash held on behalf of clients - 183,430 Cash and bank balances 140,293 766,026 592,349
Total assets 1,044,105 806,474
EQUITY
Capital and reserves 82,412 Share capital 73,612 824,490 Reserves 685,873 906,902
Total equity attributable to owners of the Company 759,485 (11,677)
Non-controlling interests (11,187)
Total equity 895,225 748,298 5 2020 2019 HK$ '000 HK$ '000 Note
LIABILITIES
Non-current liabilities 7,800 Bond payable - 33,301 Retained consideration payable - 10,333 Lease liabilities - 37 Contract liabilities 516 5,283 Deferred tax liabilities 2,507 56,754 3,023
Current liabilities 35,223 13 Trade payables 2 78 Bond interest payable - 893 Contract liabilities 1,180 13,450 Lease liabilities - 27,237 Accruals, other payables and deposit received 35,772 2,286 Amount due to a director 4,556 233 Amount due to non-controlling interests 250 12,726 Tax payables 13,393 92,126 55,153
Total liabilities 148,880 58,176
Total equity and liabilities 1,044,105 806,474
Net current assets 673,900 537,196
Total assets less current liabilities 951,979 751,321 6
1 GENERAL INFORMATION Hong Kong ChaoShang Group Limited (formerly known as " Noble Century Investment Holdings Limited") (the "Company") is a limited liability company incorporated in Bermuda and listed on the Main Board of The Stock Exchange of Hong Kong Limited (the "Stock Exchange"). The Company's registered office is located at Clarendon House, 2 Church Street, Hamilton II, Bermuda. The principal place of business in Hong Kong is situated at Suite 2202, 22nd Floor, China Resources Building, 26 Harbour Road, Wanchai, Hong Kong. Pursuant to a special resolution passed by the shareholders of the Company at a special general meeting on 31 May 2019 and approved by the Bermuda Registry of Companies on 22 July 2019, the name of the Company has been changed from "Noble Century Investment Holdings Limited" to "Hong Kong ChaoShang Group Limited" and the adoption of the Chinese name "" as the secondary name of the Company in replacement of "" has become effective. The principal activity of the Company is investment holding. The Company and its subsidiaries (together, the "Group") are principally engaged in vessel chartering, trading, money lending, factoring and finance leasing. During the year, the Group expanded its business into financial services through the completion of an acquisition of a company and its subsidiaries which hold licences to carry on Type 1, 2, 4 and 9 regulated activities as defined under the Securities and Futures Ordinance (the "SFO"). The Group also ceased and discontinued the vessel chartering business during the year. These consolidated financial statements are presented in Hong Kong dollars ("HK$") unless otherwise stated. These consolidated financial statements have been approved for issue by the Board of Directors on 29 June 2020.
2 BASIS OF PREPARATION These consolidated financial statements have been prepared in accordance with Hong Kong Financial Reporting Standards ("HKFRSs") (which include all Hong Kong Financial Reporting Standards, Hong Kong Accounting Standards ("HKASs") and Interpretations) issued by the Hong Kong Institute of Certified Public Accountants and accounting principles generally accepted in Hong Kong. In addition, the consolidated financial statements include applicable disclosures required by the Rules Governing the Listing of Securities on the Stock Exchange (the "Listing Rules") and the applicable disclosure requirements of the Hong Kong Companies Ordinance (Cap. 622). These consolidated financial statements have been prepared under the historical cost convention, except for investment property, held-for-trading investments and other financial assets that have been measured at fair value. The preparation of consolidated financial statements in conformity with HKFRSs requires the use of certain critical accounting estimates. It also requires management to exercise its judgement in the process of applying the Group's accounting policies. 7
(a) New and amended standards adopted by the Group:

使用權資產-76,695商譽1,000 21,500無形資產-230其他非流動資產-356其他金融資產-65,011 10融資租賃應收賬款109,482 278,079 214,125流動資產-存貨23 294 174 11應收貿易賬款154,649 26,762保理應收賬款8,178 24,945保證金、預付款和其他應收賬款18,327 17,100持有用於交易的投資70,599 110,867 10融資租賃應收賬款112,795 72,951 12應收貸款和利息應收賬款87,485 10可收回税款-35,787代客户持有的現金-183,430現金和銀行餘額140,293 76總資產1,044,105 806,474股權資本和儲備82,412股本73,612 824,490儲備685,873 906,902公司所有者應占股本總額759,485(11677)非控股權益(11,187)總股本895,225 748,298 5 2020 2019年‘000港元票據負債非流動負債7,800應付債券-33,301應付留存對價-10,333租賃負債-37合同負債516 5,283遞延税項負債2,507 56,754 3,023流動負債35,223 13應付貿易賬款2 78應付債券利息-893合同負債1,180 13,450租賃負債-27,237應計項目,其他應付款項和應收存款35,772 2,286應收董事金額4,556 233非控股權益應繳税款250 12,726應納税款13,393 92,126 55,153總負債148,880 58,176權益和負債合計1,044,105,806,474流動資產淨值673,900 537,196總資產減去流動負債951,979 751,321 61一般資料香港潮商集團有限公司(前稱“來寶世紀投資控股有限公司”)(“本公司”)為於百慕大註冊成立並於香港聯合交易所有限公司(“聯交所”)主板上市的有限責任公司。該公司的註冊辦事處位於百慕大哈密爾頓二世教堂街2號克拉倫登大廈。香港主要營業地點位於香港灣仔港灣道26號華潤大廈22樓2202室。根據本公司股東於2019年5月31日舉行的股東特別大會上通過並於2019年7月22日獲百慕大公司註冊處批准的特別決議案,本公司的名稱已由“來寶世紀投資控股有限公司”更改為“香港潮商集團有限公司”,並採用中文名稱“香港潮商集團有限公司”代替“香港潮商集團有限公司”作為本公司的第二名稱已生效。公司的主要業務是投資控股。本公司及其附屬公司(統稱“本集團”)主要從事船舶租賃、貿易、放貸、保理及融資租賃業務。年內,本集團通過完成對一家公司及其附屬公司的收購,將業務擴展至金融服務業,該等公司及其附屬公司持有牌照,可進行“證券及期貨條例”(“證券及期貨條例”)所界定的第一類、第二類、第四類及第九類受規管活動。年內,本集團亦停止及終止租船業務。除非另有説明,該等綜合財務報表以港元(“港元”)列報。該等合併財務報表已獲董事會批准於2020年6月29日發佈。2編制基準本綜合財務報表乃根據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”)(包括所有香港財務報告準則、香港會計準則(“香港會計準則”)及詮釋)及香港普遍接受的會計原則編制。此外,綜合財務報表包括聯交所證券上市規則(“上市規則”)及香港公司條例(香港法例)的適用披露規定所規定的適用披露。622)。該等綜合財務報表乃根據歷史成本慣例編制,但按公允價值計量的投資物業、持有交易投資及其他金融資產除外。根據香港財務報告準則編制綜合財務報表需要使用某些關鍵會計估計。它還要求管理層在應用本集團會計政策的過程中作出判斷。7.(A)集團採用的新標準和修訂標準:

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June 29, 2020 18:09 ET (22:09 GMT)

2020年6月29日美國東部時間18:09(格林尼治標準時間22:09)

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
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