PARADISE ENT(01180)

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汇彩控股(01180) - 2024 - 年度财报
2025-04-29 08:41
(於百慕達註冊成立之有限公司) (股份代號:1180) 2024 年 報 ANNUAL 2024 REPORT (Incorporated in Bermuda with limited liability) (Stock Code : 1180) ANNUAL REPORT 2024 年報 目 錄 | 公司資料 | 2 | | --- | --- | | 公司簡介 | 4 | | 董事會致辭 | 5 | | 管理層討論及分析 | 7 | | 董事及高級管理人員簡歷 | 22 | | 董事會報告 | 25 | | 企業管治報告 | 39 | | 環境、社會及管治報告 | 61 | | 獨立核數師報告 | 80 | | 綜合損益表 | 85 | | 綜合損益及其他全面收益表 | 86 | | 綜合財務狀況表 | 87 | | 綜合權益變動表 | 89 | | 綜合現金流量表 | 90 | | 綜合財務報表附註 | 92 | | 財務概要 | 154 | | 釋義 | 155 | 頁次 註冊成立地點 百慕達 董事會 執行董事 陳捷博士,主席兼董事總經理 (亦為單世勇先生的替任董事) 單世勇先生 張建軍先生 (於二 ...
汇彩控股(01180) - 2024 - 年度业绩
2025-03-27 12:10
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告之內容概不負責,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告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。 PARADISE ENTERTAINMENT LIMITED 滙 彩 控 股 有 限 公 司* ( 於百慕達註冊成立之有限公司) (股份代號:1180) 截至二零二四年十二月三十一日止年度 之全年業績公告 業績 董事會宣佈本集團截至二零二四年十二月三十一日止年度之經審核綜合全年業績如下: 綜合損益表 | | 二零二四年 | 二零二三年 | | --- | --- | --- | | | 千港元 | 千港元 | | 本年度溢利 | 381,943 | 60,937 | | 本年度其他全面收益( 開支): | | | | 其後可重新分類至損益之項目 : | | | | 換算境外業務時產生之匯兌差額 | 2,012 | 2,587 | | 註銷境外業務後重新分類累計匯兌儲備 | (6,210) | — | | | (4,198) | 2,587 | | 本年度全面收益總額 | 377,745 | 63,524 ...
汇彩控股(01180) - 2024 - 中期财报
2024-09-26 09:10
Paradise PARADISE ENTERTAINMENT LIMITED 滙 彩 控 股 有 限 公 司 * (於百慕達註冊成立之有限公司) (股份代號:1180) 2024 中期報告 MIX w | Bupp F8C° C176382 72 • 佳供談別 目 錄 頁次 公司資料 2 管理層討論及分析 3 企業管治及其他資料 15 簡明綜合財務報表審閱報告 20 簡明綜合損益表 21 簡明綜合損益及其他全面收益表 22 簡明綜合財務狀況表 23 簡明綜合權益變動表 25 簡明綜合現金流量表 26 簡明綜合財務報表附註 27 釋義 43 公司資料 | --- | --- | --- | |-------------------------------------------------------------------------------------------------|------------------------------------------------------------------------------------------------------------------ ...
汇彩控股(01180) - 2024 - 中期业绩
2024-08-28 09:47
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告之內容概不負責,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告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。 | --- | --- | --- | --- | --- | --- | --- | |-------|-------|----------|---------------|----------|-------|-------| | | | | | | | | | | 截 至 | 六 月 | 三 十 | 止 六 | 個 月 | | | | 二 | 零 二 四 | 年 | 二零二三 | | 年 | | 附 註 | ( 未 | 千 經 審 | 港 元 核 ) | 千 經 審 | 港 核 | 元 ) | PARADISE ENTERTAINMENT LIMITED 滙 彩 控 股 有 限 公 司* ( 於百慕達註冊成立之有限公司) (股份代號:1180) 截至二零二四年六月三十日止六個月之 中期業績公告 業績 董事會宣佈本集團截至二零二四年六月三十日止六個月之未經審核綜合中期業績如下: 簡明綜合損益表 截至二 ...
汇彩控股(01180) - 2023 - 年度财报
2024-04-25 09:10
Paradise * 僅供識別 MIX Paper | Bupporting responsible forestry F8C® C178382 | --- | --- | --- | --- | --- | |-------|-------|------------------------|-------|----------| | | | 公司資料 | | 頁次 \n2 | | | | 公司簡介 | | 4 | | | | 董事會致辭 | | 5 | | | | 管理層討論及分析 | | 8 | | | | 董事及高級管理人員簡歷 | | 20 | | | | 董事會報告 | | 23 | | | | 企業管治報告 | | 36 | | | | | | | | | | 環境、社會及管治報告 | | 58 | | | | 獨立核數師報告 | | 78 | | | | 綜合損益表 | | 83 | | | | 綜合財務狀況表 | | 85 | | | | 綜合權益變動表 | | | | | | | | 87 | | | | | | | | | | 綜合現金流量表 | | 88 | | | | | | | | ...
汇彩控股(01180) - 2023 - 年度业绩
2024-03-26 10:14
PARADISE ENTERTAINMENT LIMITED 滙 彩 控 股 有 限 公 司* ( 於百慕達註冊成立之有限公司) (股份代號:1180) 業績 綜合損益表 截至二零二三年十二月三十一日止年度 毛利 其他收入、收益及虧損 市場推廣、銷售及分銷費用 營運及行政開支 無形資產攤銷 財務費用 6 以下應佔本年度溢利( 虧損): —本公司擁有人 —非控股權益 – 1 – 本年度溢利( 虧損) 60,937 (166,330) 以下應佔本年度全面收益( 開支)總額: —本公司擁有人 68,371 (150,582) —非控股權益 (4,847) (11,326) 綜合財務狀況表 於 二 零二三年十 二 月 三 十 一 日 1. 一般資料 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告之內容概不負責,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告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。 截至二零二三年十二月三十一日止年度 之全年業績公告 董事會宣佈本集團截至二零二三年十二月三十一日止年度之經審核綜合全年業績如下: 收入 4 銷售及服務成本 本年度溢利 ...
汇彩控股(01180) - 2023 - 中期财报
2023-09-25 08:52
Revenue Performance - The reported total revenue for the six months ended June 30, 2023, was HKD 246.7 million, an increase of 36.2% compared to HKD 181.1 million for the same period in 2022[18]. - The increase in total revenue was primarily due to the rise in income from providing casino management services in Macau as travel restrictions were eased[18]. - Revenue from the management of the gaming tables at the Casino Grand Lisboa was HKD 240,000,000, an increase of 55.8% compared to HKD 154,000,000 for the same period in 2022[27]. - The total gaming revenue for the group reached HKD 439.5 million for the six months ended June 30, 2023, up from HKD 283.1 million in the same period of 2022, indicating an overall increase of approximately 55.2%[49]. - The group reported segment revenue of HKD 240,052,000 from casino management services for the six months ended June 30, 2023, compared to HKD 154,041,000 for the same period in 2022, representing a growth of 55.8%[136]. - The company recorded a total of HKD 243,733,000 in revenue from Macau for the six months ended June 30, 2023, up from HKD 158,838,000 in the same period of 2022[174]. Profitability and Loss - The company reported a loss of HKD 3.0 million for the six months ended June 30, 2023, a significant improvement from a loss of HKD 96.7 million in the same period of 2022[7]. - For the six months ended June 30, 2023, the group reported a loss of HKD 3,000,000, significantly reduced from a loss of HKD 96,700,000 for the same period in 2022[21]. - The group incurred a pre-tax loss of HKD 2,978,000 for the six months ended June 30, 2023, compared to a pre-tax loss of HKD 96,494,000 for the same period in 2022, indicating a significant improvement[136]. - The company reported a loss before tax of HKD 2,978,000, a substantial reduction from a loss of HKD 96,494,000 in the prior year[103]. - For the six months ended June 30, 2023, the company reported a profit attributable to shareholders of HKD 680,000, compared to a loss of HKD 87,930,000 for the same period in 2022[165]. Cost Management - Adjusted EBITDA for the gaming segment in Macau was HKD 55.8 million for the six months ended June 30, 2023, compared to a loss of HKD 23.3 million for the same period in 2022, indicating a significant turnaround[8]. - Adjusted EBITDA for the six months ended June 30, 2023, was HKD 31,000,000, compared to a negative HKD 64,400,000 for the same period in 2022[20]. - The adjusted EBITDA for the electronic entertainment equipment and systems segment was a loss of HKD 17.5 million for the six months ended June 30, 2023, compared to a loss of HKD 30.4 million for the same period in 2022, reflecting a significant reduction in losses due to effective cost-saving strategies implemented in response to the COVID-19 pandemic[47]. - Operating and administrative expenses decreased to HKD 67,321,000 from HKD 88,164,000 year-on-year, reflecting improved cost management[103]. - Research and development expenses for the six months ended June 30, 2023, were HKD 15,070,000, down from HKD 28,783,000 for the same period in 2022, reflecting a reduction of 47.6%[144]. Financial Position - As of June 30, 2023, the group had bank deposits of HKD 47,300,000, including HKD 46,500,000 in fixed deposits[30]. - The company’s net assets as of June 30, 2023, were HKD 153,647,000, a decrease from HKD 157,690,000 as of December 31, 2022[81]. - Cash and cash equivalents amounted to HKD 56,145,000, with net current liabilities of HKD 28,091,000 as of June 30, 2023[85]. - The total assets less current liabilities amounted to HKD 335,304,000 as of June 30, 2023, compared to HKD 297,637,000 as of December 31, 2022, representing an increase of approximately 12.7%[106]. - Cash and cash equivalents increased to HKD 56,145,000 as of June 30, 2023, from HKD 20,179,000 as of December 31, 2022, marking a significant increase of approximately 178.5%[109]. Employee and Operational Metrics - The group has approximately 700 employees, including about 440 gaming business employees managed by a subsidiary[37]. - The group managed 40 gaming tables as of June 30, 2023, down from 47 tables as of December 31, 2022, with all 40 tables operational[22]. - The average number of traditional gaming tables increased to 104.8 in 2023 from 65.8 in 2022, while live mixed gaming tables rose to 124.6 from 81.9[11]. - The average number of traditional gaming tables decreased to 32 for the six months ended June 30, 2023, down from 46 in the same period of 2022, reflecting a strategic adjustment in operations[49]. Governance and Compliance - The company has maintained compliance with the corporate governance code, with a review of its governance structure planned for the future[72]. - The company continues to ensure a balanced distribution of power and authority within its governance structure, with experienced independent non-executive directors overseeing key decisions[72]. - The company has adopted a cash flow forecast based on expected revenues and expenses for at least the next twelve months, considering market conditions and growth rates[85]. Market and Strategic Developments - The company plans to continue expanding its entertainment management services in Macau, focusing on enhancing operational efficiency and customer engagement[151]. - The group has renewed its service agreement with 澳娛綜合 for casino management services, effective from January 1, 2023, to December 31, 2025[127]. - The group has a new gaming license contract granted by the Macau government, effective from January 1, 2023, to December 31, 2032, for a duration of ten years[127].
汇彩控股(01180) - 2023 - 中期业绩
2023-08-29 09:34
本期間其他全面收益: 其後可重新分類至損益之項目: 換算境外業務時產生之匯兌差額 1,679 3,128 – 2 – | --- | --- | --- | --- | |-------------------------------|-------|--------------------------------------------------------------|-----------------------------------------------------------| | | 附 註 | 於 二 零 二三 年 六 月 三 十 日 千 港 元 ( 未 經 審 核 ) | 於 二零二二 年 十 二月三十一 日 千 港 元 ( 經 審 核 ) | | 非 流 動 資 產 | | | | | 物 業 、 廠 房 及 設 備 | | 231,696 | | | 使 用 權 資 產 | | 31,687 | 239,129 | | 無 形 資 產 | | 26,299 | 35,877 | | 於 一 間 合 營 企 業 之 權 益 | | — | 32,367 — | | 遞 延 稅 項 資 ...
汇彩控股(01180) - 2022 - 年度财报
2023-04-26 08:55
目錄 公司簡介4 董事會報告 23 李宗揚先生(主席) 陳捷博士 鄧喬心女士 授權代表 陳健文先生 總 辦 事 處 及 主 要 營 業 地 點 卓佳秘書商務有限公司 香港 夏戀道16號 遠東金融中心17樓 潘彩控股有限公司 二零二二年年報 公司資料(續) 主要往來銀行 上市地點 1180 投資者關係 網站 全年業績公告: 就二零二三年股東週年大會暫停辦理 股份過戶登記日期: 二零二三年股東週年大會: 公司通訊 3 自二零零七年本集團開始根據與澳娛綜合之服務合約(該服務合約的最新期限為自二零二三年一月一日至二零 二五年十二月三十一日)為金碧滙彩娛樂場 (澳娛綜合的一家澳門衛星娛樂場)提供娛樂場管理服務後,樂透澳 門已將其自身定位為一間專注於中場嚴客並為澳門的衛星娛樂場提供娛樂場管理服務的供應商。榮透澳門憑 藉向顯容提供實惠的最低投注額並因此吸引龐大、多樣化以及忠實的顧客群,從而於競爭對手中脫穎而出,並 透過借助科技降低營運成本、提高博彩效率及生產力而實現其顯著優勢。 灌彩控股有限公司 二零二二年年報 5 驗,過去曾從事提供創新新能源或可再生能源解決方案、健康及消費大數據以及數字化金融科技等行業,相信 可以並將會 ...
汇彩控股(01180) - 2022 - 年度业绩
2023-03-28 10:37
二零二二年 二零二一年 千港元 千港元 8. 稅項抵免(支出) 根據澳門所得補充稅法,對評稅年度的估計應課稅溢利進行澳門所得補充稅的評估之法定權利,將自該 評稅年度起連續五年後終止。於報告期末,董事已重新評估澳門所得補充稅撥備之充足性,並決定於截 至二零二二年十二月三十一日止年度撥回部分本集團之相關澳門所得補充稅撥備5,000,000港元。 – 11 – 於二零二二年十二月三十一日,本集團應收貿易賬項結餘中包括賬面值總額為671,000港元( 二零二 一 年 : 1,835,000 港 元 )的 應 收 賬 款 於 報 告 日 期 已 逾 期 。 於 二 零 二 二 年 十 二 月 三 十 一 日 的 逾 期 結 餘 中,4,000港元( 二零二一年:無 )已逾期90日或以上且根據特定債務人之過往還款模式未被視作違 約。本集團並無就該等結餘持有任何抵押品。 於二零二二年十二月三十一日,86.8%( 二零二一年:93.1% )的並無信貸減值之應收貿易賬項具有 最佳信貸評級,其評級乃由本集團使用的內部信貸評級系統所作出。 – 13 – | --- | --- | --- | |------------------ ...