新創建集團(00659.HK)年度持續經營業務收入281.97億港元 同比增長24.70%
格隆匯9月30日丨新創建集團(00659.HK)公吿,截至2021年6月30日止年度全年業績,持續經營業務收入281.97億港元,同比增長24.70%;集團應占經營溢利52.259億港元,增長49%;"核心業務"應占經營溢利42.237億港元,增長34%(佔集團應占經營溢利81%);集團持續出售非核心資產為股東釋放價值,總代價約142億港元;建議末期股息每股建議末期股息每股0.30港元,較去年末期股息每股0.29港元增加3.4%,連同中期股息每股0.29港元,2021財政年度分派的全年股息將為每股0.59港元(2020財政年度:每股0.58港元),與集團的可持續及漸進的股息政策與本集團的可持續及漸進的股息政策一致;可動用資金總計約302億港元,包括現金及銀行結存,包括現金及銀行結存108億港元及備用已承諾銀行信貸額約194億港元,流動性充裕;淨負債比率穩定於25%(2020年6月30日:31%;2020年12月31日:26%)。
在策略組合中,應占經營溢利按年大幅上升172%至10.022億港元,主要歸因於i)物流業務穩定增長;ii)港怡醫院營運持續提升以及"免税"店實施嚴格成本控制措施,令設施管理業務表現有所改善;iii)受惠於部份聯營公司及合營企業的應占業績由於相關業務的復甦而有所回升,以及於若干策略性投資的公平值收益淨額,以致策略性投資業務的貢獻增加;及iv)在出售巴士和渡輪業務後,交通業務不再帶來虧損。
這強勁表現被香港會議展覽中心("會展中心")面臨的經營壓力,以及蘇伊士新創建有限公司("蘇伊士新創建")和重慶德潤環境有限公司("德潤環境")自2020年12月31日被重新分類為待售資產後,本集團不再分佔其溢利,導致應占經營溢利有所下跌而部份抵消。
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