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开明投资11月末每股综合资产净值约为0.082港元
Zhi Tong Cai Jing· 2025-12-11 09:25
开明投资(00768)发布公告,于2025年11月30日,本公司每股股份的未经审核综合资产净值约为0.082港 元。 ...
开明投资(00768.HK)11月末每股综合资产净值约为0.082港元
Jin Rong Jie· 2025-12-11 09:23
开明投资(00768.HK)发布公告,于2025年11月30日,本公司每股股份的未经审核综合资产净值约为 0.082港元。 本文源自:金融界AI电报 ...
开明投资(00768)11月末每股综合资产净值约为0.082港元
智通财经网· 2025-12-11 09:15
智通财经APP讯,开明投资(00768)发布公告,于2025年11月30日,本公司每股股份的未经审核综合资产 净值约为0.082港元。 ...
开明投资(00768) - 资產净值
2025-12-11 09:11
香港,二零二五年十二月十一日 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文件的內容概不負責,對其準確性 或完整性亦不發表任何聲明,並明確表示,概不對因本件全部或任何部份內容而產生或因倚賴 該等內容而引致的任何損失承擔任何責任。 於本公佈日期,本公司董事局之成員包括主席及執行董事周偉興先生,執行董事鄭偉倫先生; 以及獨立非執行董事鄧漢標先生、郭明輝先生及郭婉琳女士。 於二零二五年十一月三十日,本公司每股股份之未經審核綜合資產淨值約為 0.082 港元。 開明投資有限公司 (於開曼群島註冊成立之有限公司) (股份代號: 768 ) ...
开明投资(00768) - 截至二零二五年十一月三十日止月份之股份发行人的证券变动月报表
2025-12-01 09:09
股份發行人及根據《上市規則》第十九B章上市的香港預託證券發行人的證券變動月報表 | | | 致:香港交易及結算所有限公司 公司名稱: 開明投資有限公司 呈交日期: 2025年12月1日 I. 法定/註冊股本變動 | 1. 股份分類 | 普通股 | 股份類別 | 不適用 | | | 於香港聯交所上市 (註1) | | 是 | | | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | | 證券代號 (如上市) | 00768 | 說明 | | | | | | | | | | | 法定/註冊股份數目 | | | 面值 | | | 法定/註冊股本 | | | 上月底結存 | | | 2,000,000,000 | HKD | | 0.01 | HKD | | 20,000,000 | | 增加 / 減少 (-) | | | | | | | HKD | | | | 本月底結存 | | | 2,000,000,000 | HKD | | 0.01 | HKD | | 20,000,000 | 本月底法定/註冊股本總額: HKD 20,000,000 F ...
开明投资发布中期业绩 净利润741.3万港元 同比增长29.46%
Zhi Tong Cai Jing· 2025-11-24 13:03
Core Viewpoint - The company reported a decline in revenue but an increase in net profit for the interim period ending September 30, 2025 [1] Financial Performance - Revenue for the six months was HKD 3.171 million, representing a year-on-year decrease of 23% [1] - Net profit reached HKD 7.413 million, showing a year-on-year increase of 29.46% [1] - Earnings per share were HKD 0.0058 [1]
开明投资(00768.HK)中期净利润为约741万港元 同比增长约29.3%
Ge Long Hui· 2025-11-24 10:58
Core Viewpoint - The company reported a net profit of approximately HKD 7.41 million for the six months ending September 30, 2025, an increase from HKD 5.73 million in the same period last year, primarily due to higher realized and unrealized gains from financial assets [1] Financial Performance - The net profit for the period was approximately HKD 7.41 million compared to HKD 5.73 million in the previous year [1] - The increase in net profit was mainly attributed to realized and unrealized gains of about HKD 7.1 million from listed equity securities, up from HKD 3.5 million in the same period last year [1] Market Outlook - The company expects a cautiously optimistic outlook for global stock markets in the coming months, influenced by potential interest rate cuts in the U.S., improved earnings growth, stimulus measures from the Chinese government, and strong capital inflows from mainland China into the Hong Kong market [1] Risk Factors - The company will closely monitor ongoing risks, including global geopolitical tensions, uncertainties in U.S. monetary policy, inflation trends, and trade policies, particularly the impact of U.S.-China trade relations on market volatility [1]
开明投资(00768) - 2026 - 中期业绩
2025-11-24 10:45
Financial Performance - Total proceeds from the sale of trading securities reached HKD 52,496,000, up 64.3% from HKD 31,920,000 in the previous year[3] - Revenue for the period was HKD 3,171,000, a decrease of 22.9% compared to HKD 4,118,000 in the prior year[3] - Net profit before tax increased to HKD 7,413,000, representing a growth of 29.5% from HKD 5,726,000 in the previous year[3] - Earnings per share rose to HKD 0.58, up 28.9% from HKD 0.45 in the prior year[3] - The net profit for the six months ended September 30, 2025, was approximately HKD 7,410,000, an increase of about 29.5% from HKD 5,730,000 in the same period last year[19] - Other income increased to HKD 259,000, up 110.6% from HKD 123,000 in the prior year[12] Assets and Liabilities - Total assets as of September 30, 2025, amounted to HKD 100,482,000, an increase from HKD 93,378,000 as of March 31, 2025[4] - Cash and cash equivalents decreased to HKD 18,161,000 from HKD 30,578,000, indicating a decline of 40.6%[4] - The fair value of listed equity securities increased to HKD 75,879,000 as of September 30, 2025, up from HKD 62,565,000 as of March 31, 2025[16] - The net asset value rose by approximately 8.1% to HKD 100,399,000 from HKD 92,986,000 as of March 31, 2025[17] - The cash levels as of September 30, 2025, were approximately HKD 18,200,000, compared to HKD 30,600,000 as of March 31, 2025[19] - The group had no credit or debt ratio as of September 30, 2025, maintaining a debt-free status[38] Investment Strategy - The company plans to maintain a cautious and pragmatic investment approach while optimizing its portfolio for better shareholder returns[23] - The company will continue to focus on high-dividend listed securities and maintain sufficient liquidity for future investment opportunities[23] - The company’s investment strategy includes a diversified portfolio across various sectors, including telecommunications, transportation, and real estate[20] - As of September 30, 2025, the group's top ten listed equity investments accounted for 71.16% of total assets, with a fair value of HKD 71,493 million[24] Dividends and Shareholder Returns - There were no interim dividends declared for the six months ended September 30, 2025[18] - The board decided not to declare an interim dividend for the period[39] Market Performance - The Hang Seng Index rose approximately 16.2% from 23,119 at the end of March 2025 to 26,855 by the end of September 2025[22] Employment and Governance - The group employed a total of 3 full-time employees as of September 30, 2025, down from 4 in 2024[49] - The board of directors confirmed compliance with the standard code for securities trading throughout the period[56] - The company has established a remuneration committee and a nomination committee, both comprising independent non-executive directors[53][54] Other Financial Information - The group reported a net gain of HKD 7,085,000 from financial assets measured at fair value, significantly up from HKD 3,548,000 in the previous year[11] - Investment management fees paid to related companies were HKD 719,000, an increase of 9.3% from HKD 658,000 in the previous year[13] - The group did not make any provision for Hong Kong profits tax due to offsetting previous unrecognized tax losses[14] - The group received approximately HKD 179,000 in dividends from CK Hutchison and HKD 243,000 from Power Assets as of September 30, 2025[25][26] - The group holds 40,000 shares of CK Hutchison, representing 0.001% of its issued share capital, and 126,000 shares of Power Assets, representing 0.006% of its issued share capital[25][26] - The group plans to continue focusing on capital expenditure management and cash flow to maintain financial stability amid external challenges[25] - The group has no foreign exchange risk due to conducting business primarily in Hong Kong dollars[43] - As of September 30, 2025, the group has no significant capital commitments or contingent liabilities[41] - There were no major acquisitions or disposals of subsidiaries or associates during the period[42] - There were no repurchases, sales, or redemptions of the company's listed securities during the six months ended September 30, 2025[55] - The interim report for 2025 will be sent to shareholders and published on the stock exchange and the company's website[57]
开明投资10月末每股资产净值为0.08港元
Zhi Tong Cai Jing· 2025-11-12 09:17
Core Viewpoint - The company, Ka Ming Investment (00768), announced that as of October 31, 2025, its unaudited consolidated net asset value per share is approximately HKD 0.08 [1] Group 1 - The company reported an unaudited consolidated net asset value per share of about HKD 0.08 [1]
开明投资(00768)10月末每股资产净值为0.08港元
智通财经网· 2025-11-12 09:15
Core Points - The company, Kai Ming Investment (00768), announced that as of October 31, 2025, its unaudited consolidated net asset value per share is approximately HKD 0.08 [1] Summary by Category Company Information - Kai Ming Investment's unaudited consolidated net asset value per share is reported to be around HKD 0.08 as of October 31, 2025 [1]