ASIA STD HOTEL(00292)

Search documents
2024年重庆润通智能装备有限公司摩托车产销量分别为300292辆和298506辆,产销率为99.41%
产业信息网· 2025-04-02 05:43
上市公司:钱江摩托(000913),信隆健康(002105),征和工业(003033),久祺股份(300994), 林海股份(600099),上海凤凰(600679),中路股份(600818),力帆科技(601777),春风动力 (603129),爱玛科技(603529),隆鑫通用(603766),永安行(603776),新日股份(603787), 绿通科技(301322),涛涛车业(301345),华洋赛车(834058) 相关报告:智研咨询发布的《2025-2031年中国摩托车行业市场专项调研及投资前景研究报告》 根据中国汽车工业(摩托车)产销快讯数据显示:2024年12月重庆润通智能装备有限公司摩托车产量为 27983辆,同比增长90.8%,销量为27374辆,同比增长53.6%,产销率为97.82%,积压609辆;2024年1- 12月重庆润通智能装备有限公司摩托车产量为300292辆,产量累计同比增长33.48%,2024年1-12月重庆 润通智能装备有限公司销量为298506辆,销量累计同比增长33.03%,2024年1-12月重庆润通智能装备有 限公司摩托车出口量为298474辆,内销量占比为0 ...
泛海酒店(00292) - 2024 - 年度财报
2024-07-30 09:13
Financial Performance - For the fiscal year ending March 31, 2024, the company reported a loss attributable to shareholders of approximately HKD 2,250 million, compared to a loss of HKD 213 million in the previous year, representing an increase of 956%[10] - Revenue decreased by 4% to HKD 891 million from HKD 927 million year-on-year[7] - The group recorded a shareholder loss of HKD 2,250,000,000 for the fiscal year ending March 31, 2024, compared to a loss of HKD 213,000,000 for the previous year, primarily due to increased expected credit loss provisions on debt securities[20] - Revenue for the fiscal year ending March 31, 2024, was HKD 891 million, a decrease of 3.9% from HKD 927 million in 2023[44] - Gross profit for the same period was HKD 776 million, down 10.1% from HKD 863 million in 2023[44] - The company reported a net loss attributable to shareholders of HKD 2,250 million, compared to a profit of HKD 213 million in 2023[44] - The company’s total liabilities increased to HKD 6,651 million from HKD 6,276 million in 2023, an increase of 6%[44] - The revalued total asset value was HKD 18,665 million, down from HKD 19,226 million in 2023[44] Asset and Financing - The total asset value decreased by 15% to HKD 7,912 million from HKD 9,282 million[7] - The net asset value dropped by 58% to HKD 1,261 million from HKD 3,006 million[7] - The company’s debt-to-revalued asset ratio increased to 45% from 41%, reflecting a 4% rise[7] - The financial investment portfolio decreased to HKD 1,311,000,000 as of March 31, 2024, down from HKD 2,870,000,000 the previous year, a reduction of HKD 1,559,000,000[28] - The group has approximately HKD 1,100,000,000 in undrawn bank financing as of March 31, 2024[35] - The debt-to-equity ratio increased to 45% as of March 31, 2024, compared to 41% the previous year[35] Hotel and Real Estate Business - The hotel business contributed significantly with a profit of HKD 180 million, a substantial increase of 362% compared to HKD 39 million in the previous year[7] - The hotel business contributed revenue of HKD 367,000,000, up from HKD 166,000,000 in the previous year, resulting in a profit contribution of HKD 180,000,000, compared to HKD 39,000,000 previously[24] - The company is focused on enhancing its hotel business in prime locations in Hong Kong, targeting business travelers and visitors from mainland China[15] - The company plans to continue investing in high-quality residential development projects in Vancouver to expand its real estate business[16] - The residential development project "Landmark On Robson" in Vancouver has a total floor area of approximately 400,000 square feet and is expected to start delivering pre-sold units in the second half of 2024, with total sales contracts amounting to approximately CAD 241,000,000[26] Environmental and Sustainability Efforts - The company has secured a sustainable development performance-linked loan of HKD 1.4 billion, aimed at reducing energy and water consumption across all hotels[50] - The total greenhouse gas emissions for the fiscal year 2024 amounted to 10,516 tons, an increase from 10,244 tons in 2023, primarily due to higher energy demand from increased hotel occupancy rates[64] - Direct energy consumption from electricity rose to 16,349,000 kWh in 2024, compared to 14,838,000 kWh in 2023, reflecting an increase in energy usage per square meter from 269 kWh to 297 kWh[69] - Water consumption increased to 119,000 cubic meters in 2024, up from 89,000 cubic meters in 2023, resulting in a rise in water usage per square meter from 1.6 to 2.2 cubic meters[70] - The company reported a reduction of 8% in direct energy consumption intensity compared to the previous fiscal year, despite an overall increase in energy and water usage due to higher occupancy rates[68] - The total amount of recyclable construction waste generated decreased to 385 tons in 2024 from 652 tons in 2023, indicating improved waste management practices[65] - The company has implemented energy-saving measures and upgraded equipment to reduce energy consumption, focusing on air conditioning and lighting systems[68] - The company is committed to sustainable development goals in its property development projects, particularly in Vancouver, Canada[73] Employee and Workforce Management - As of March 31, 2024, the total number of employees is 180, with a gender distribution of 90 males and 90 females[80] - The overall employee turnover rate for the fiscal year ending March 31, 2024, is approximately 45%, down from 100% in the previous year[84] - The company provided medical insurance and competitive benefits to employees, ensuring compliance with all relevant health and safety laws and regulations[85] - The average training hours per employee for males and females are between 35-45 hours and 45-55 hours, respectively[94] - The total number of employee training participants increased, with 67% of male employees and 87% of female employees receiving training in 2024[93] - The company has maintained a zero fatality rate due to work-related incidents for the fiscal year ending March 31, 2024[87] - The company has established policies to create a fair and respectful work environment, providing continuous training and development opportunities for employees[79] Corporate Governance and Compliance - The board of directors held four meetings during the year, with the attendance of executive directors at 100%[121] - The board of directors is composed of six executive directors and three independent non-executive directors, ensuring a balance of oversight and management[117] - The company continues to focus on enhancing transparency, independence, accountability, and fairness in its corporate governance practices[116] - The company has implemented compliance procedures to ensure adherence to applicable laws and regulations that significantly impact its operations[104] - The company has maintained compliance with all relevant laws and regulations, with no significant violations reported during the fiscal year[105] - The company has provided indemnification for directors against any lawsuits, costs, losses, or damages incurred while performing their duties, and has secured appropriate directors and officers liability insurance[197] Community Engagement and Social Responsibility - The company donated a total of HKD 50,000 to the Life Hotline during the reporting year, reflecting its commitment to community investment[113] - The company actively collaborates with the Hong Kong Society for Rehabilitation to support individuals with special needs, demonstrating its commitment to corporate social responsibility[111] Future Outlook and Strategic Initiatives - The management remains cautiously optimistic about the group's performance amid macroeconomic uncertainties[41] - The company is closely monitoring macroeconomic developments and potential risks while focusing on the recovery of the hotel and tourism industry in Hong Kong[40] - The government is taking active measures to enhance Hong Kong's attractiveness as a tourist destination, which is expected to drive local tourism and hotel industry growth[40] - The company provided guidance for the next fiscal year, projecting revenue growth of 10% to $1.32 billion[3] - New product launches are expected to contribute an additional $200 million in revenue, with a focus on innovative technology solutions[4] - The company is expanding its market presence in Asia, targeting a 30% increase in market share over the next two years[5] - A strategic acquisition was completed, enhancing the company's capabilities in digital services, valued at $150 million[6] - Research and development expenses increased by 20%, totaling $100 million, to support new technology initiatives[7] - The company plans to implement cost-saving measures aimed at reducing operational expenses by 5% in the upcoming year[8]
泛海酒店(00292) - 2024 - 年度业绩
2024-06-28 13:51
香港交易及結算所有限公司及香港聯合交易所有限公司對本公告之內容概不負責,對其準確性或完整性亦不發表 任何聲明,並明確表示概不就因本公告全部或任何部份內容而產生或因倚賴該等內容而引致之任何損失承擔任何 責任。 ASIA STANDARD HOTEL GROUP LIMITED 泛海酒店集團有限公司* (於百慕達註冊成立之有限公司) (股份代號:292) 截至二零二四年三月三十一日止年度 業績公佈 | 財務摘要 | | | | | --- | --- | --- | --- | | (除另有註明外,金額以百萬港元列示) | | | | | | 二零二四年 | 二零二三年 | 變動 | | 收入 | 891 | 927 | -4% | | 酒店業務之盈利貢獻 | 180 | 39 | +362% | | 股東應佔虧損 | (2,250) | (213) | +956% | | 資產總值 | 7,912 | 9,282 | -15% | | 資產淨值 | 1,261 | 3,006 | -58% | | 負債淨額 | 5,463 | 5,284 | +3% | | 酒店物業以估值編列之補充資料(附註): | | | ...
泛海酒店(00292) - 2024 - 中期财报
2023-12-29 08:46
2 公司資料 3 財務摘要 4 管理層討論及分析 8 簡明綜合損益賬 - 未經審核 9 簡明綜合全面收益表 - 未經審核 10 簡明綜合資產負債表 - 未經審核 12 簡明綜合現金流量表 - 未經審核 13 簡明綜合權益變動報表 - 未經審核 14 中期財務資料附註 42 其他資料 公司資料 董事 執行董事 潘政先生 (主席) 林迎青博士 (副主席兼行政總裁) 潘海先生 潘洋先生 馮兆滔先生 吳維群先生 泛海酒店集團有限公司 2023 中期報告 股份代號 : 292 www.asiastandardhotelgroup.com 目錄 獨立非執行董事 梁偉強先生, 太平紳士 黃之強先生 管博明先生 審核委員會 黃之強先生 (主席) 梁偉強先生, 太平紳士 管博明先生 薪酬委員會 黃之強先生 (主席) 林迎青博士 管博明先生 提名委員會 潘政先生 (主席) 梁偉強先生, 太平紳士 黃之強先生 法定代表 林迎青博士 李大熙先生 公司秘書 李大熙先生 香港主要辦事處 香港 灣仔駱克道33號 萬通保險大廈30樓 電話2866 3336 傳真2866 3772 網址www.asiastandardhotelgroup.c ...
泛海酒店(00292) - 2024 - 中期业绩
2023-11-30 13:09
香港交易及結算所有限公司及香港聯合交易所有限公司對本公告之內容概不負責,對其準確性或完整性亦不發表 任何聲明,並明確表示概不就因本公告全部或任何部份內容而產生或因倚賴該等內容而引致之任何損失承擔任何 責任。 ASIA STANDARD HOTEL GROUP LIMITED 泛海酒店集團有限公司* (於百慕達註冊成立之有限公司) (股份代號:292) 截至二零二三年九月三十日止六個月 中期業績公佈 財務摘要 (除另有註明外,金額以百萬港元列示) 截至九月三十日止六個月 二零二三年 二零二二年 變動 收入 474 464 +2% 酒店業務之盈利貢獻 79 6 +1217% 股東應佔期內虧損 (371) (96) +286% 每股虧損-基本(港仙) (18.4) (4.7) +292% 二零二三年 二零二三年 九月三十日 三月三十一日 資產總值 8,387 9,282 -10% ...
泛海酒店(00292) - 2023 - 年度财报
2023-07-28 10:33
泛海酒店集團有限公司 2023 年報 股份代號 : 292 www.asiastandardhotelgroup.com 泛海酒店集團有限公司 2 023 年 報 目錄 2 公司資料 3 財務摘要 4 主席報告書 5 業務模式及策略 6 管理層討論及分析 11 五年財務摘要 12 主要物業 13 環境、社會及管治報告 27 企業管治報告 37 董事及高級管理層 41 董事會報告書 57 獨立核數師報告 66 綜合損益賬 67 綜合全面收益表 68 綜合資產負債表 70 綜合現金流量表 71 綜合權益變動報表 72 財務報表附註 公司資料 董事 執行董事 潘政先生 (主席) 林迎青博士 (副主席兼行政總裁) 潘海先生 潘洋先生 馮兆滔先生 吳維群先生 獨立非執行董事 梁偉強先生, 太平紳士 黃之強先生 審核委員會 黃之強先生 (主席) 梁偉強先生, 太平紳士 管博明先生 薪酬委員會 黃之強先生 (主席) 林迎青博士 管博明先生 提名委員會 潘政先生 (主席) 梁偉強先生, 太平紳士 黃之強先生 法定代表 林迎青博士 李大熙先生 公司秘書 李大熙先生 註冊辦事處 Victoria Place, 5th Floor ...
泛海酒店(00292) - 2023 - 年度业绩
2023-06-30 14:24
香港交易及結算所有限公司及香港聯合交易所有限公司對本公告之內容概不負責,對其準確性或完整性亦不發表 任何聲明,並明確表示概不就因本公告全部或任何部份內容而產生或因倚賴該等內容而引致之任何損失承擔任何 責任。 ASIA STANDARD HOTEL GROUP LIMITED 泛海酒店集團有限公司* (於百慕達註冊成立之有限公司) (股份代號:292) 截至二零二三年三月三十一日止年度 業績公佈 及 建議修訂現有公司細則 財務摘要 (除另有註明外,金額以百萬港元列示) 二零二三年 二零二二年 變動 收入 927 990 -6% 本公司股東應佔虧損 (213) (746) -71% 資產總值 9,282 9,114 +2% 資產淨值 3,006 2,183 +38% 負債淨額 5,284 5,861 -10% ...
泛海酒店(00292) - 2023 - 中期财报
2022-12-29 09:23
泛海酒店集團有限公司 2022 中期報告 股份代號 : 292 | --- | --- | --- | --- | --- | --- | --- | |-------|-------|------------------------------------|-------|-------|-------|-------| | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | 目錄 | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | | 2 | 公司資料 | | | | | | | 3 | 財務摘要 | | | | | | | | | | | | | | | 4 | 管理層討論及分析 | | | | | | | | | | | | | | | 8 | 中期財務資料的審閱報告 | | | | | | | | | | | | | | | ...
泛海酒店(00292) - 2022 - 年度财报
2022-07-28 10:04
2S 泛海酒店集團有限公司 JII Istores 2022 年報 股份代號 : 292 目錄 12 五年財務摘要 13 主要物業 14 環境、社會及管治報告 29 企業管治報告 39 董事及高級管理層 43 董事會報告書 57 獨立核數師報告 66 綜合損益賬 67 綜合全面收益表 68 綜合資產負債表 70 綜合現金流量表 71 綜合權益變動報表 72 財務報表附註 6 管理層討論及分析 4 主席報告書 2 公司資料 3 財務摘要 5 業務模式及策略 公司資料 董事 註冊辦事處 法律顧問 執行董事 羅夏信律師事務所 香港 金鐘道95號 統一中心18樓 Victoria Place, 5th Floor, 31 Victoria Street, Hamilton HM 10, Bermuda 潘政先生(主席) 林迎青博士 (副主席兼行政總裁) 潘海先生 潘洋先生 馮兆滔先生 吳維群先生 Appleby 香港鰂魚涌 華蘭路18號 太古坊 港島東中心42樓 4201至03及12室 香港主要辦事處 香港 灣仔駱克道33號 萬通保險大廈30樓 電話 2866 3336 傳真 2866 3772 網址www.asia ...
泛海酒店(00292) - 2022 - 中期财报
2021-12-30 09:57
泛海酒店集團有限公司 | --- | --- | --- | |------------------|-------|-------| | | | | | | | | | | | | | 2021 | | | | 中期報告 | | | | | | | | | | | | | | | | 股份代號 : 292 | | | | --- | --- | --- | --- | --- | --- | --- | --- | |-------|-------|----------|------------------------------|----------|-------|-------|-------| | | | | | | | | | | | | | | | | | | | | | 目錄 | | | | | | | | | | | | | | | | | | | | | | | | | | 2 | 公司資料 | | | | | | | | 3 | 財務摘要 | | | | | | | | 4 | | 管理層討論及分析 | | | | | | | 9 | | 簡明綜合損益賬 - 未經審核 | | | | | ...