LEEPORT(HOLD)(00387)

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600387,终止上市
Zheng Quan Shi Bao· 2025-06-06 15:10
*ST海越上述行为违反了《证券法》第七十八条第一款及第二款、第七十九条、第八十条第一款及第二款第三项的相关规定,构成《证券法》第一百九十 七条第一款、第二款所述违法情形。 资料显示,海越能源集团股份有限公司成立于1993年,于2004年在上交所挂牌上市,主营油品贸易、成品油批发及零售、仓储、碳酸锂业务、物业租赁、 创投等业务。 业绩方面,*ST海越预计2024年度实现营业收入15亿元至18亿元,归属于母公司所有者的净利润-3.8亿元至-2.2亿元。*ST海越表示,报告期内,受传统能 源行业整体下行及控制大宗贸易业务风险影响,公司大宗贸易业务总额与公司主营业务规模较去年有所下滑。此外,报告期末,碳酸锂市场价格较去年同 期仍有一定幅度下跌,公司对产成品碳酸锂等相关存货计提了存货跌价准备;同时,基于谨慎性原则,结合期末情况按预期收回金额,对公司应收款项计 提了资产减值损失。 综合自:公司公告 *ST海越(600387)(600387.SH)发布公告,公司于2025年6月6日收到上海证券交易所《关于海越能源集团股份有限公司股票终止上市的决定》([2025]130 号),上海证券交易所决定终止公司股票上市。 公司股票进 ...
力丰(集团)(00387.HK)5月16日收盘上涨15.25%,成交3.62万港元
Jin Rong Jie· 2025-05-16 08:34
(以上内容为金融界基于公开消息,由程序或算法智能生成,不作为投资建议或交易依据。) 本文源自:金融界 机构评级方面,目前暂无机构对该股做出投资评级建议。 行业估值方面,工业工程行业市盈率(TTM)平均值为14.62倍,行业中值2.48倍。力丰(集团)市盈率 6.49倍,行业排名第27位;其他谊砾控股(00076.HK)为0.3倍、中国航天万源(01185.HK)为0.32 倍、天洁环境(01527.HK)为1.92倍、北京控股环境集团(00154.HK)为1.97倍、同景新能源 (08326.HK)为2.46倍。 资料显示,力丰(集团)有限公司是一家主要从事机械设备业务的香港投资控股公司。该公司主要业务包 括金属加工机械、测量仪器、切削工具及电子设备的买卖及安装以及提供售后服务。该公司在中国、香 港及新加坡、马来西亚及印度尼西亚等其他国家开展业务。 5月16日,截至港股收盘,恒生指数下跌0.46%,报23345.05点。力丰(集团)(00387.HK)收报0.68港元/ 股,上涨15.25%,成交量5.2万股,成交额3.62万港元,振幅13.56%。 最近一个月来,力丰(集团)累计跌幅14.49%,今年来累计 ...
富邦科技(300387):扣非后净利润同比增长23.91% 加速现代农业布局
Xin Lang Cai Jing· 2025-04-25 06:42
海外助剂业务收入同比增长12.48%。公司在国内,公司不断调整战略布局,聚焦节能降耗类农化助剂 的研发与推广,持续加强销售管理,优化人才结构,推动国内助剂业务稳预期、稳增长;在国外,公司 凭借全球一体化运营模式,在欧洲、前独联体、非洲、东盟等区域各施举措,海外业绩显著提升。2024 年,公司国内助剂实现营业收入35838.18 万元,同比增长4.93%,海外助剂实现营业收入54408.83 万 元,同比增长12.48%。 加速现代农业布局,打造全产业链闭环。公司依托康欣生物与富邦湘渝两大载体、国家生物农药工程技 术研究中心与中国农业大学等科研平台,聚焦"水肥药耦合+数字技术"差异化路径,积极推出了绿色高 效的微生物菌剂、生物肥料与禾本科固氮、 生物农药与根结线虫防治、生物发酵与食品添加剂等新一 代现代农业产品,打造降本增产的综合解决方案。2024 年,公司该业务实现营业收入20660.71 万元, 同比增长169.05%。同时,在新产品开发方面,康欣生物已成功推出5 个微生物线虫防治新产品、4 个 生物肥料新产品及3 个禾本科固氮新产品,持续提升市场转化效率。 本报告导读: 盈利预测与投资评级。我们预计公司2 ...
力丰(集团)(00387) - 2024 - 年度财报
2025-04-23 09:31
Financial Performance - The group's revenue for 2024 was HKD 560,626,000, a decrease of 20.1% compared to HKD 701,552,000 in 2023[6] - Gross profit for 2024 was HKD 138,549,000, down 12.8% from HKD 158,865,000 in 2023, with a gross margin of 24.7% compared to 22.6% in the previous year[6] - Operating profit for 2024 was HKD 42,503,000, a slight increase of 0.7% from HKD 42,206,000 in 2023[14] - Profit attributable to owners for 2024 was HKD 20,909,000, an increase of 85.2% from HKD 11,288,000 in 2023[14] - Basic earnings per share for 2024 were HKD 0.0909, up 85.1% from HKD 0.0491 in 2023[15] - The group recorded a net financing expense of HKD 8,254,000 in 2024, a decrease of 34.6% from HKD 12,621,000 in 2023[11] - Other income and gains totaled HKD 18,669,000 in 2024, an increase of 120.6% from HKD 8,464,000 in 2023[7] - The net profit for the year was HKD 20,907,000, an increase of 77.8% compared to HKD 11,754,000 in 2023[199] - Basic earnings per share increased to HKD 0.0909 from HKD 0.0491, representing an increase of 84.5%[199] Dividends - The board proposed a final dividend of HKD 0.03 per share, totaling HKD 6,902,000, with total dividends for the year amounting to HKD 0.16 per share compared to HKD 0.045 per share in 2023[17] - The company plans to distribute a final dividend of HKD 0.03 per share, totaling HKD 6,902,000, alongside a special dividend of HKD 0.10 per share and an interim dividend of HKD 0.03 per share, resulting in a total dividend of HKD 0.16 per share for the fiscal year ending December 31, 2024, compared to HKD 0.045 per share in 2023[48] Assets and Liabilities - Total assets decreased to HKD 737,318,000 in 2024 from HKD 820,783,000 in 2023, a decline of 10.1%[196] - Total liabilities decreased to HKD 292,270,000 in 2024 from HKD 342,641,000 in 2023, a reduction of 14.7%[197] - The group's cash and cash equivalents balance as of December 31, 2024, was HKD 26,048,000, down from HKD 29,795,000 in 2023[24] - The inventory balance as of December 31, 2024, was HKD 69,993,000, a decrease from HKD 80,209,000 in 2023, with inventory turnover days increasing from 54 to 61 days[24] - The accounts receivable balance as of December 31, 2024, was HKD 206,372,000, slightly down from HKD 209,795,000 in 2023, with accounts receivable turnover days improving from 135 to 125 days[25] Economic Environment - The Chinese economy faced challenges with a GDP growth rate of 5.0% in 2024, slightly down from 5.4% in 2023, while industrial value-added increased by 5.7%[18] - The group is facing challenges due to a weak economic environment in Europe, particularly in Germany, impacting the performance of its joint ventures[20] Strategic Initiatives - The group plans to expand its service team by hiring more engineers to enhance technical capabilities, anticipating revenue growth from after-sales services[21] - The company recognizes the risk of over-reliance on the Chinese market, with any adverse changes significantly impacting revenue, and aims to expand its business in Southeast Asia to mitigate this risk[52] - The company intends to enhance its product and service value to address competitive pressures, including increasing technical support and after-sales service for customers[52] - The company is exploring investment opportunities in manufacturing equipment in other countries, including Europe, to diversify its market risks[52] Sustainability and Environmental Management - The company emphasizes environmental management and aims to reduce its environmental impact through waste optimization and resource management[142] - The company has established a range of communication channels to engage with stakeholders and gather feedback on sustainability performance[135] - The company has set a mid-term target to reduce greenhouse gas emissions intensity by 10% from the 2021 baseline by 2030[175] - The company aims to reduce energy consumption intensity by 10% from the 2021 baseline by 2030, incorporating energy efficiency standards in office equipment procurement by 2023[175] - Water consumption and water density are targeted to decrease by 10% from the 2021 baseline by 2030[175] Governance and Compliance - The company has adopted the corporate governance code as per the Hong Kong Stock Exchange rules and has complied with it for the year ending December 31, 2024[80] - The company confirmed that all independent non-executive directors are independent as per the relevant rules[84] - The audit committee has reviewed the accounting principles and practices adopted by the group and discussed risk management and internal control systems[82] - The board has established risk management systems to identify and manage significant risks that could adversely affect the company's performance[51] Employee and Labor Practices - The company has implemented a defined contribution retirement plan for eligible employees in Hong Kong since December 1, 2000, and complies with the national social insurance plan for employees in mainland China[145] - The company strictly prohibits forced labor and child labor, ensuring compliance with local labor laws and regulations[151] - Employee engagement initiatives included regular meetings and surveys to gather feedback, fostering a harmonious workplace culture[154] Audit and Financial Reporting - The independent auditor's report confirms that the consolidated financial statements reflect the company's financial position accurately as of December 31, 2024[178] - The consolidated financial statements have been audited by PwC[92] - The company reported a total audit fee of HKD 488,000 for the year, with an additional HKD 530,000 for interim performance announcement services[124]
力丰(集团)(00387) - 2024 - 年度业绩
2025-03-25 14:03
Financial Performance - The group's revenue for the year ended December 31, 2024, was HKD 560,626,000, a decrease of 20.1% compared to HKD 701,552,000 in 2023[3] - Gross profit for 2024 was HKD 138,549,000, down 12.8% from HKD 158,865,000 in 2023, with a gross margin of 24.7% compared to 22.6% in the previous year[3] - Operating profit for 2024 was HKD 42,503,000, a slight increase of 0.7% from HKD 42,206,000 in 2023[11] - Profit attributable to owners of the company was HKD 20,909,000 in 2024, an increase of 85.2% from HKD 11,288,000 in 2023[11] - Basic earnings per share for 2024 were HKD 0.0909, up 85.1% from HKD 0.0491 in 2023[11] - The company reported a profit for the year of HKD 20,907,000, compared to HKD 11,754,000 in the previous year, representing an increase of approximately 78.5%[25] - The company reported a comprehensive income of HKD 5,203,000 for the year 2024, compared to HKD 12,258,000 in 2023[53] Income and Expenses - Other income and gains totaled HKD 18,669,000 in 2024, an increase of 120.6% from HKD 8,464,000 in 2023[5] - Financing expenses for 2024 were HKD 9,414,000, a decrease of 31.9% from HKD 13,821,000 in 2023, primarily due to improved cash flow[8] - Tax expenses for 2024 increased by 96.8% to HKD 3,769,000 from HKD 1,915,000 in 2023[10] - The net loss from fair value adjustments of investment properties was HKD 7,347,000 for the year ended December 31, 2024, compared to a loss of HKD 3,970,000 in 2023[34] Assets and Liabilities - Total assets decreased from HKD 820,783,000 to HKD 737,318,000, a decline of approximately 10.1% year-over-year[16] - Non-current assets decreased from HKD 464,369,000 to HKD 400,969,000, a reduction of about 13.6%[16] - Current assets decreased from HKD 356,414,000 to HKD 336,349,000, a decline of approximately 5.6%[16] - Total liabilities decreased from HKD 342,641,000 to HKD 292,270,000, a reduction of about 14.7%[17] - The total equity decreased from HKD 478,142,000 to HKD 445,048,000, a decline of approximately 6.9%[17] - Total borrowings decreased to HKD 128,071,000 in 2024 from HKD 172,146,000 in 2023, reflecting a reduction of approximately 25.6%[60] Revenue Breakdown - Sales of goods decreased from HKD 626,121,000 to HKD 464,800,000, a decline of approximately 25.7%[27] - Commission income increased from HKD 68,509,000 to HKD 89,698,000, an increase of about 30.9%[27] - Service revenue for the year ended December 31, 2024, was HKD 6,128,000, a decrease from HKD 6,922,000 in 2023[28] - Approximately HKD 89,536,000 of revenue for the year ended December 31, 2024, came from one customer, accounting for over 10% of total revenue[28] Dividends and Retained Earnings - The company proposed a final dividend of HKD 0.03 per share, totaling HKD 6,902,000, with total dividends for the year amounting to HKD 0.16 per share compared to HKD 0.045 per share in 2023[13] - The company's retained earnings increased from HKD 177,167,000 to HKD 216,253,000, an increase of approximately 22.1%[17] Operational Efficiency - The average accounts receivable turnover days improved to 125 days in 2024 from 135 days in 2023, indicating better collection efficiency[62] - The net debt-to-equity ratio decreased to approximately 21.7% as of December 31, 2024, from 28.7% in 2023, due to reduced bank borrowings aimed at lowering financing costs[66] - The net profit margin for 2024 is approximately 5.4%, an increase from 3.9% in 2023, due to fair value gains on financial assets and improved operational cost efficiency[65] Future Outlook and Strategy - The group plans to expand its service team by hiring more engineers to enhance technical capabilities, anticipating revenue growth from after-sales services[67] - The Chinese government has set a GDP growth target of 5% for 2025, with a projected 30% increase in new energy vehicle sales to 16.5 million units[67] - The group is confident in its product and market despite challenges from the US-China tariff war and underperformance of joint ventures in Germany and China[67] Corporate Governance - The company's annual performance for the year ending December 31, 2024, has been reviewed by the audit committee and confirmed by the auditor, PwC, with no discrepancies noted in the financial statements[83] - The company plans to hold its 2025 Annual General Meeting on June 25, 2025, with further details to be announced[84] - The board of directors includes three executive directors: Mr. Li Siu Leung, Mr. Chan Cheng Huan, and Mr. Pan Yiu Ming, along with non-executive and independent directors[86]
力丰(集团)(00387) - 2024 - 中期财报
2024-09-13 08:30
Leeport カ 豐(集 團)有 限 公 司 LEEPORT (HOLDINGS) LIMITED (於百慕達註冊成立之有限公司) (股份代號:00387) 2024 中期報告 先 進 製 造 技 術 始創於1967年 Naties = Re 目錄 頁次 管理層評論 2 | --- | |--------------------------| | | | 簡明綜合中期資產負債表 | | 簡明綜合中期收益表 | | 簡明綜合中期全面收益表 | | 簡明綜合中期權益變動表 | | 簡明綜合中期現金流量表 | | 簡明綜合中期財務資料附註 | 12 14 16 17 19 20 管理層評論 力豐(集團)有限公司(「本公司」)董事(「董事」)會謹此提呈本公司及其附屬公司(統稱「本集 團」)截至二零二四年六月三十日止六個月之未經審核簡明綜合中期業績,連同未經審核之比 較數字及選定說明附註,此乃根據香港會計師公會頒佈之香港會計準則第34號「中期財務報 告」編製而成,並已由本公司審核委員會審閱。 財務表現 收入 於二零二四年上半年,本集團之收益為255,249,000港元,較去年同期之409,610,000港元減 少37 ...
力丰(集团)(00387) - 2024 - 中期业绩
2024-08-22 13:04
香港交易及結算所有限公司及香港聯合交易所有限公司對本公佈之內容概不負 責,對其準確性或完整性亦不發表任何聲明,並明確表示概不就因本公佈全部或 任何部份內容而產生或因倚賴該等內容而引致之任何損失承擔任何責任。 (股份代號:387) (於百慕達註冊成立之有限公司) 截至二零二四年六月三十日止六個月之 中期業績公佈 力 豐(集 團)有 限 公 司(「本 公 司」)董 事 會(「董 事」或「董 事 會」)謹 此 提 呈 本 公 司 及 其 附 屬 公 司(統 稱「本 集 團」)截 至 二 零 二 四 年 六 月 三 十 日 止 六 個 月 之 未 經 審 核 簡 明 綜 合中期業績,連同未經審核之比較數字及選定說明附註,此乃根據香港會計師公 會頒佈之香港會計準則第34號「中 期 財 務 報 告」編 製 而 成,並 已 由 本 公 司 審 核 委 員 會審閱。 中期股息 截至二零二四年六月三十日止六個月,董事會議決宣派中期股息每股3港仙(二零 二三年:1港 仙)。該 股 息 將 派 付 予 於 二 零 二 四 年 九 月 十 日(「記 錄 日 期」)名 列 本 公 司 股 東 名 冊 之 股 東。預 期 中 期 股 息 ...
力丰(集团)(00387) - 2023 - 年度财报
2024-04-29 08:49
年報 2023 先 進 製 造 技 術 始創於1967年 目錄 | | 頁次 | | --- | --- | | 公司資料 | 2 | | 主席報告 | 3 | | 管理層討論及分析 | 8 | | 董事及高級管理層履歷 | 11 | | 董事會報告書 | 14 | | 企業管治報告書 | 24 | | 環境、社會及管治報告 | 36 | | 獨立核數師報告 | 52 | | 經審核財務報表 | | | 綜合資產負債表 | 58 | | 綜合收益表 | 60 | | 綜合全面收益表 | 61 | | 綜合權益變動表 | 62 | | 綜合現金流量表 | 64 | | 綜合財務報表附註 | 65 | | 五年財務摘要 | 146 | 公司資料 董事 執行董事 李修良先生 (主席) 陳正煊先生 潘耀明先生 獨立非執行董事 ZAVATTI Samuel Mario先生 黃達昌先生 葛友勤先生 公司秘書 陳正煊先生 審核委員會成員 黃達昌先生 (主席) ZAVATTI Samuel Mario先生 葛友勤先生 薪酬委員會成員 ZAVATTI Samuel Mario先生 (主席) 李修良先生 黃達昌先生 葛友勤先生 ...
力丰(集团)(00387) - 2023 - 年度业绩
2024-03-25 14:25
香港交易及結算所有限公司及香港聯合交易所有限公司對本公佈之內容概不負 責,對其準確性或完整性亦不發表任何聲明,並明確表示概不就因本公佈全部或 任何部分內容而產生或因倚賴該等內容而引致之任何損失承擔任何責任。 (於百慕達註冊成立之有限公司) (股份代號:387) 截至二零二三年十二月三十一日止年度 之業績公佈 力 豐(集團)有限公司(「本公司」)董 事(「董 事」)會謹此提呈本公司及其附屬公司(統 稱「本集團」)截至二零二三年十二月三十一日止年度之綜合年度業績,連同截至 二零二二年十二月三十一日止年度之比較數字。本年度業績已由本公司之審核委 員會審閱。 財務表現 收 益 二零二三年,中國製造業面臨諸多挑戰,例如國內消費疲弱,出口業務受到全球 經濟復甦緩慢和美國政府對中國脫鈎政策的影響。 於二零二三年,本集團之收益為701,552,000港元,較二零二二年之874,011,000港元 下降19.7%。本集團之毛利為158,865,000港元,較於二零二二年之133,205,000港元上 升19.3%。於二零二三年,毛利為收益之22.6%,而二零二二年之毛利率為15.2%。 同比收益增長與毛利率變動呈截然不同的走勢 ...
力丰(集团)(00387) - 2023 - 中期财报
2023-09-18 08:30
中期報告 2023 先 進 製 造 技 術 始創於1967年 | 目錄 | 頁次 | | --- | --- | | 管理層評論 | 2 | | 簡明綜合中期資產負債表 | 12 | | 簡明綜合中期收益表 | 14 | | 簡明綜合中期全面收益表 | 16 | | 簡明綜合中期權益變動表 | 17 | | 簡明綜合中期現金流量表 | 19 | | 簡明綜合中期財務資料附註 | 20 | 管理層評論 力豐(集團)有限公司(「本公司」)董事(「董事」)會謹此提呈本公司及其附屬公司(統稱「本集 團」)截至二零二三年六月三十日止六個月之未經審核簡明綜合中期業績,連同未經審核之比 較數字及選定說明附註,此乃根據香港會計師公會頒佈之香港會計準則第34號「中期財務報 告」編製而成,並已由本公司審核委員會審閱。 財務表現 收入 二零二三年首六個月,中國經濟從二零二二年政府嚴格控制2019冠狀病毒疫情的措施影響 中復甦。然而,復甦力度未如預期般強勁。具體而言,製造業在經歷二零二二年的疲弱形勢 後,並未表現強勁的需求。 於二零二三年上半年,本集團收入為409,610,000港元,較去年同期之348,434,000港元增加 17 ...