長江基建集團(01038.HK)年度純利減少30.3%至73.2億港元 末期息1.79港元
格隆匯3月17日丨長江基建集團(01038.HK)發佈公吿,截至2020年12月31日止年度,公司營業額383.52億港元,同比增長6%;公司股東應占溢利73.2億港元,同比減少30.3%;每股盈利2.91港元,末期股息每股1.79港元。
溢利逾半跌幅金額乃非現金項目:於英國錄得非現金遞延税項支出港幣14億元,以反映該國維持19%的企業税率(而非早前頒佈的17%);以及英國UKRails及澳洲Energy Developments的非現金折舊支出增加港幣4億元。在整體跌幅中,來自2019冠狀病毒疫情的影響僅佔港幣6億元。
撇除上述非現金項目及冠狀病毒疫情的影響,2020年對比2019年的溢利跌幅約為7%;此溢利下跌的主要因素包括Northumbrian Water在年內展開的新規管制度下溢利貢獻減少,以及匯兑損失。
儘管溢利下降,來自營運的現金流由港幣76億元增加至港幣78億元。集團的整體投資組合每年持續產生經常性現金流。集團的收入基礎堅如磐石,業務根基穩固,別具堅韌實力。
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