《公司業績》嘉里建設(00683.HK)半年基礎溢利23.6億元按年增113% 中期息0.4元
嘉里建設(00683.HK)公布截至今年6月底止中期業績,營業額63.74億元,按年升62.7%。純利37.73億元,按年升251.3%;每股盈利2.59元。派中期息0.4元,按年持平。期內,未計入投資物業公允價值變動之基礎溢利為23.6億元,按年增長113%。
於上半年,集團在香港及內地共錄得合約銷售81.9億元,佔今年全年銷售目標61%。其中香港達成合約銷售20.2億元,佔香港全年銷售目標之36%;內地則錄61.7億元,佔內地全年銷售目標的78%。而集團物業租賃收入為26.6億元,按年上升14%。香港投資物業貢獻收入6.56億元,與去年同期相若;內地則為19.9億元,按年增20%。香港及內地分別佔集團租賃總收入的25%及75%。
另外,上半年集團毛利率為57%,按年下跌4個百分點。物業銷售業務錄得毛利率46%,按年增5個百分點;物業租賃業務則錄得毛利率77%,下跌3個百分點。
集團提到,待部分要約及出售嘉里物流(00636.HK)股份完成後,董事會宣派特別股息每股2.3元。
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