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港龍中國地產(06968.HK)公佈中期業績 淨利潤增長41% 淨資產負債比率下降至25%
格隆匯 08-25 23:00

格隆匯8月25日丨港龍中國地產(06968.HK)發佈公吿,截至2021年6月30日止6個月,公司收入約為人民幣48.59億元,較2020年同期增長184%;淨利潤約為人民幣4.53億元,較2020年同期增長41%。

於2021年6月30日,集團扣除合約負債後的資產負債比率約為68%(於2020年12月31日:82%)。於2021年6月30日,集團的淨資產負債比率(按借款總額減受限制現金、已抵押定期存款以及現金及現金等價物,再除以權益總額計算)為25%(於2020年12月31日:41%)。於2021年6月30日,集團的現金短債比(按現金及銀行結餘除以短期銀行和其他借款計算)為1.7倍(於2020年12月31日:1.1倍)。

截至2021年6月30日止六個月合約銷售額(包括附屬公司、合營企業與聯營公司的整體合約銷售額)約為人民幣178.53億元,總銷售面積約1,488,418平方米,同期增長分別為58%及65%。

截至2021年6月30日止6個月,集團(連同其合營企業及聯營公司)於海安、南通、靖江、泰州、儀徵、常州及阜寧收購7幅新優質地塊,就可供出售的總建築面積計算,提供918,548平方米的新土地儲備,其加權平均應占每平方米土地成本約為人民幣4,504元。

公司表示,集團將繼續夯實長三角深耕佈局,深入拓展粵港澳大灣區、成渝都市圈,擇機進入發展潛力大、盈利空間可期的城市。在行業利潤承壓的大背景下,集團將着力打造精簡高效的組織,不斷提升組織能力並使之成為企業核心競爭力:繼續推進數字化運營管理,更好的鏈接市場端、需求端與生產端;通過優化組織結構,搭建培養平台,賦能員工成長,完善激勵機制,引進優秀人才,提高人均效能;充分發揮集採聯盟優勢,合理有效降低經營成本;奉行審慎的財務政策,開拓健康的融資渠道,採取靈活務實的融資策略,優化融資結構。全方位打造抵禦市場波動的軟硬實力,助力集團業務快速穩健發展,並帶給股東更好的回報。

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