德昌電機控股(00179.HK)2022財年淨利1.46億美元 同比下跌31%
格隆匯5月12日丨德昌電機控股(00179.HK)公吿,截至2022年3月31日止財政年度,營業總額34.46億美元,較去年上升9%。未計入匯率變動及收購的影響,基本營業額上升7%;股東應占溢利淨額1.46億美元,較去年下跌31%;基本淨溢利1.65億美元,下跌34%;於2022年3月31日,現金儲備3.45億美元,而財政年終總債務佔資本比率為16%。建議派發末期股息每股17港仙。連同中期股息每股17港仙,全年股息合共34港仙(相比去年全年股息每股51港仙),相等於每股4.36美仙。
2021/22財政年度對德昌電機而言特別具挑戰性,因為受到多項宏觀經濟和特定行業因素的影響,對全球零部件製造供應鏈造成巨大壓力。雖然隨着全球經濟逐步從2019冠狀病毒病("COVID-19")疫情中復甦,帶動營業額強勁增長,但生產成本上升和受外圍因素干擾公司的營運,使溢利率下跌。
具挑戰性的營運環境並沒有改變集團業務策略的核心要素,其中包括:投資於創新的驅動相關產品和技術解決方案,以應對社會的長期需求趨勢,特別是在電氣化、減少排放、自動化、移動性、安全和醫療保健領域提供隨時應變且低成本的製造完成模式,有效地為全球和地區客户提供服務通過應用最新的數碼平台和工具,加速公司的業務流程和數據管理轉型然而,越來越明顯的是,近期對"及時生產"製造業供應鏈的一連串衝擊,以及全球通脹性生產成本飆升的影響在短期內可能不會大幅減弱。這需要管理層即時作出深遠的應對,並伸延到公司業務的每個部分。
Follow us
Find us on
Facebook,
Twitter ,
Instagram, and
YouTube or frequent updates on all things investing.Have a financial topic you would like to discuss? Head over to the
uSMART Community to share your thoughts and insights about the market! Click the picture below to download and explore uSMART app!

Disclaimers
uSmart Securities Limited (“uSmart”) is based on its internal research and public third party information in preparation of this article. Although uSmart uses its best endeavours to ensure the content of this article is accurate, uSmart does not guarantee the accuracy, timeliness or completeness of the information of this article and is not responsible for any views/opinions/comments in this article. Opinions, forecasts and estimations reflect uSmart’s assessment as of the date of this article and are subject to change. uSmart has no obligation to notify you or anyone of any such changes. You must make independent analysis and judgment on any matters involved in this article. uSmart and any directors, officers, employees or agents of uSmart will not be liable for any loss or damage suffered by any person in reliance on any representation or omission in the content of this article. The content of the article is for reference only and does not constitute any offer, solicitation, recommendation, opinion or guarantee of any securities, virtual assets, financial products or instruments. Regulatory authorities may restrict the trading of virtual asset-related ETFs to only investors who meet specified requirements. Any calculations or images in the article are for illustrative purposes only.
Investment involves risks and the value and income from securities may rise or fall. Past performance is not indicative of future performance. Please carefully consider your personal risk tolerance, and consult independent professional advice if necessary.