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嘉里建設(00683.HK)年度股東應佔溢利跌75%至8.08億港元 末期息每股0.95港元
格隆匯 03-19 12:23

格隆匯3月19日丨嘉里建設(00683.HK)公佈年度業績,截至2024年12月31日止年度,集團錄得股東應佔溢利8.08億港元,按年減少75%。監於內地及香港房地產行業環境面臨的挑戰,集團對發展物業及投資物業的估值採取了更爲保守的取態。若撇除特殊項目影響,基礎溢利按年增加25%至39.73億港元,增幅主要由於發展物業收入提升。每股盈利爲0.56港元,按基礎溢利計算的調整後每股盈利爲2.74港元。董事會建議宣派年度末期股息每股0.95港元,連同中期股息每股0.40港元,2024年度總股息爲每股1.35港元。

2024年錄得合約銷售額126.05億港元(2023年:140.71億港元),跌幅主要由於內地可銷售資源減少,但部分被香港的貢獻增加所抵銷。集團合併收入爲213.61億港元,按年上升18%,主要得益於發展物業的應佔確認銷售額增加至138.30億港元。投資物業(不計入酒店業務)的合併租金收入按年下跌2%至53.55億港元,若按當地貨幣計算則大致持平。酒店業務在2023年已從新冠疫情的影響中大幅復甦,並於二零二四年恢復正常,合併收入按年減少4%至21.76億港元,按當地貨幣計算則按年下跌2%。

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