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新創建集團:截至2023年12月31日止六個月中期業績公告

NWS HOLDINGS: ANNOUNCEMENT OF INTERIM RESULTS FOR THE SIX MONTHS ENDED 31 DECEMBER 2023

香港交易所 ·  Feb 27 03:30
Summary by Moomoo AI
新創建集團(NWS HOLDINGS)公佈截至2023年12月31日止六個月的未經審核綜合中期業績,顯示集團整體應佔經營溢利按年增長19%至21.34億港元,股東應佔溢利亦穩健增長18%至10.088億港元。經調整EBITDA按年增長44%至37.273億港元。集團財務狀況保持穩健,可用流動資金總額為304億港元,現金及銀行結存為201億港元。本集團於2023年12月發出贖回2019年永續資本證券的通告,淨負債比率上升至30%。中期普通股息維持每股0.30港元,並宣佈派發一次性特別股息每股1.79港元。新創建集團的業務在內地解除新型冠狀病毒防疫措施後持續改善,尤其是道路業務的交通流量和路費收入持續復甦和增長,保險業務受惠於業務增長,設施管理業務中的香港會議展覽中心和「免稅」店業績轉虧為盈。
新創建集團(NWS HOLDINGS)公佈截至2023年12月31日止六個月的未經審核綜合中期業績,顯示集團整體應佔經營溢利按年增長19%至21.34億港元,股東應佔溢利亦穩健增長18%至10.088億港元。經調整EBITDA按年增長44%至37.273億港元。集團財務狀況保持穩健,可用流動資金總額為304億港元,現金及銀行結存為201億港元。本集團於2023年12月發出贖回2019年永續資本證券的通告,淨負債比率上升至30%。中期普通股息維持每股0.30港元,並宣佈派發一次性特別股息每股1.79港元。新創建集團的業務在內地解除新型冠狀病毒防疫措施後持續改善,尤其是道路業務的交通流量和路費收入持續復甦和增長,保險業務受惠於業務增長,設施管理業務中的香港會議展覽中心和「免稅」店業績轉虧為盈。
NWS HOLDINGS ANNOUNCED UNAUDITED CONSOLIDATED INTERIM RESULTS FOR THE SIX MONTHS ENDED 31 DECEMBER 2023, SHOWING THAT THE GROUP'S OVERALL OPERATING PROFIT GREW 19% YEAR-ON-YEAR TO HK$21.34 BILLION, AND SHAREHOLDERS' EARNINGS INCREASED STEADILY BY 18% TO HK$10.088 BILLION. Adjusted EBITDA grew 44% year-on-year to HK$37,273 million. The Group's financial position remains stable, with a total available liquidity of HK$304 billion and cash and bank deposits of HK$201 billion. The Group issued a notice to redeem its 2019 Sustainable Capital Securities in December 2023, increasing its net debt ratio to 30%. The interim ordinary dividend is maintained at HK$0.30 per share and the distribution of a one-time special dividend of HK$1.79 per share is declared. The business of the newly created Group...Show More
NWS HOLDINGS ANNOUNCED UNAUDITED CONSOLIDATED INTERIM RESULTS FOR THE SIX MONTHS ENDED 31 DECEMBER 2023, SHOWING THAT THE GROUP'S OVERALL OPERATING PROFIT GREW 19% YEAR-ON-YEAR TO HK$21.34 BILLION, AND SHAREHOLDERS' EARNINGS INCREASED STEADILY BY 18% TO HK$10.088 BILLION. Adjusted EBITDA grew 44% year-on-year to HK$37,273 million. The Group's financial position remains stable, with a total available liquidity of HK$304 billion and cash and bank deposits of HK$201 billion. The Group issued a notice to redeem its 2019 Sustainable Capital Securities in December 2023, increasing its net debt ratio to 30%. The interim ordinary dividend is maintained at HK$0.30 per share and the distribution of a one-time special dividend of HK$1.79 per share is declared. The business of the newly created Group continued to improve following the lifting of the new coronavirus prevention measures in the Mainland. In particular, the road business continued to recover and increase in traffic traffic and road toll revenue, the insurance business benefited from business growth, and the loss of profit in the Hong Kong Convention and Exhibition Centre and Duty Free Shops in the Facilities Management business.
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