XINKONG INT CAP(00993)
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信控国际资本(00993) - 截至二零二六年三月三十一日止月份之股份发行人的证券变动月报表
2026-04-01 04:13
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 截至月份: 2026年3月31日 狀態: 新提交 | 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) | 00993 | 說明 | | | | | | | | | | | 法定/註冊股份數目 | | | 面值 | | | 法定/註冊股本 | | | 上月底結存 | | | 1,000,000,000,000 | HKD | | 0.001 | HKD | | 1,000,000,000 | | 增加 / 減少 (-) | | | | | | | HKD | | | | 本月底結存 | | | 1,000,000,000,000 | HKD | | 0.001 | HKD | | 1,000,000,000 | 本月底法定/註冊股本總額: HKD 1,000,000,000 FF301 第 1 頁 共 10 頁 v 1. ...
信控国际资本(00993) - 2025 - 年度业绩
2026-03-30 14:04
Financial Performance - Total revenue for the year ended December 31, 2025, was HKD 19,688,000, a decrease of 78.7% compared to HKD 92,441,000 in 2024[2] - Commission and service fee income decreased to HKD 3,291,000 from HKD 5,990,000, representing a decline of 45.3%[2] - Interest income calculated using the effective interest method dropped to HKD 12,751,000 from HKD 76,446,000, a decrease of 83.3%[2] - The company reported a pre-tax loss of HKD 769,957,000, compared to a loss of HKD 264,783,000 in the previous year, indicating a significant increase in losses[3] - The annual loss attributable to equity holders of the company was HKD 1,153,192,000, up from HKD 642,716,000 in 2024, reflecting a 79.5% increase in losses[3] - The net loss for the year ended December 31, 2025, was HKD 754,406 million, compared to a loss of HKD 241,044 million in 2024[38] - The company reported a significant net loss from financial assets at fair value through profit or loss of HKD 274,019 million for the year ended December 31, 2025[36] - The company recorded a net impairment provision of HKD 249,748 million for other loans and debt instruments[37] - The basic loss per share for the year was HKD 0.132, up from HKD 0.074 in the previous year, indicating a worsening financial performance[82] Assets and Liabilities - Total assets decreased to HKD 1,469,060,000 from HKD 2,065,770,000, a reduction of 28.9%[5] - Current liabilities increased to HKD 841,275,000 from HKD 503,514,000, an increase of 67.1%[6] - The net asset value decreased significantly to HKD (3,434,810,000) from HKD (2,273,381,000), indicating a worsening financial position[6] - The total liabilities as of December 31, 2025, were HKD 4,903,870 million, an increase from HKD 4,339,151 million in 2024[41] - The group’s total issued shares as of December 31, 2025, amounted to 8,709,586,011 shares, with total equity of approximately negative HKD 3,434,810,000, compared to negative HKD 2,273,381,000 the previous year[92] Cash Flow and Liquidity - The company’s cash and bank deposits increased to HKD 442,019,000 from HKD 413,122,000, a slight increase of 7.0%[5] - The group has total bank credit facilities of HKD 100 million as of December 31, 2025, with no utilization of any credit[10] - The group plans to sell financial assets classified as fair value through profit or loss or other comprehensive income to alleviate liquidity pressure when necessary[12] - The group is focusing on improving cash flow through measures such as recovering cash from existing projects and controlling administrative costs[13] - The group has implemented measures to enhance liquidity and cash flow, ensuring sufficient operational funds to meet financial obligations due within the next twelve months[14] - The group expects to have sufficient operating funds for at least the next twelve months, supported by internal cash flow, existing cash, bank balances, and external borrowings[96] Impairment and Credit Risk - The company has reported a significant impairment loss of HKD 233,733,000, compared to HKD 134,207,000 in the previous year, indicating increased financial strain[3] - The expected credit loss provision for other loans and debt instruments increased to HKD 1,224,376,000 in 2025 from HKD 994,720,000 in 2024, representing an increase of about 23%[61] - The company believes that the impairment provisions for the period are adequate, despite the high degree of estimation and uncertainty involved in assessing credit risk and expected cash flows[72] - The company assesses the expected credit loss provisions based on individual loan assessments, considering factors such as significant financial difficulties of the borrower and the probability of contract violations or bankruptcy[71] Business Operations and Strategy - The group continues to develop its licensing business, including securities brokerage, asset management, and corporate finance, while seeking opportunities in new markets[14] - The board believes that the business plan for the next twelve months is feasible and achievable, with ongoing efforts to enhance profitability and improve cash flow[15] - The group plans to focus on special investment opportunities arising from market adjustments and deepen its engagement in the "bad asset" business area[91] - The group aims to strengthen cooperation in securities and corporate financing to provide more comprehensive financial services and enhance its differentiated business advantages[91] - The group will continue to enhance risk management measures and focus on asset management opportunities in the distressed asset sector, particularly targeting central state-owned enterprises[88] Compliance and Governance - The financial statements are prepared in accordance with the Hong Kong Financial Reporting Standards and are presented in Hong Kong dollars, rounded to the nearest thousand[9] - The company has adopted and complied with all applicable corporate governance principles as per the listing rules Appendix C1[124] - The audit committee consists of three independent non-executive directors responsible for reviewing and monitoring the financial reporting system and internal control procedures[126] - The company will hold its annual general meeting on June 22, 2026[121] - There were no significant events after the end of the financial year up to the date of this announcement[128] Market Environment - The geopolitical tensions and U.S. tariff measures have created significant uncertainties in the global market, impacting the group's operational environment[83] - The group anticipates that the global economy will remain stable amid geopolitical tensions and trade policy changes, while still facing uncertainties that may impact the economic environment in mainland China and Hong Kong[90]
信控国际资本(00993) - 盈利预警
2026-03-23 04:01
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 對 因 本 公 告 全部或任何部分內容而產生或因依賴該等內容而引致之任何損失承擔任何責 任。 (於百慕達註冊成立之有限公司) (股份代號:993) 盈利預警 本 公 告 乃 信 控 國 際 資 本 有 限 公 司(「本公司」,連 同 其 附 屬 公 司 統 稱「本集團」)根 據《香 港 聯 合 交 易 所 有 限 公 司 證 券 上 市 規 則》(「上市規則」)第13.09(2)(a)條及香港 法例第571章《證 券 及 期 貨 條 例》第XIVA部 內 幕 消 息 條 文 作 出。 本公司及其附屬公司所持抵押品或金融資產公允價值之後續變動可能對其財 務 業 績 造 成 重 大 影 響。股 東 及 潛 在 投 資 者 於 買 賣 本 公 司 股 份 時 務 請 審 慎 行 事。 承董事會命 信控國際資本有限公司 主 席 王 成 香 港,二 零 二 六 年 三 月 二 十 日 於本公告日期,董事會包括非執行董事王成先生及譚杰予女士,執行董事陳 ...
信控国际资本(00993) - 盈利预警
2026-03-20 14:01
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 對 因 本 公 告 全部或任何部分內容而產生或因依賴該等內容而引致之任何損失承擔任何責 任。 (於百慕達註冊成立之有限公司) (股份代號:993) 盈利預警 本 公 告 乃 信 控 國 際 資 本 有 限 公 司(「本公司」,連 同 其 附 屬 公 司 統 稱「本集團」)根 據《香 港 聯 合 交 易 所 有 限 公 司 證 券 上 市 規 則》(「上市規則」)第13.09(2)(a)條及香港 法例第571章《證 券 及 期 貨 條 例》第XIVA部 內 幕 消 息 條 文 作 出。 本 公 司 董 事 會(「董事會」)謹 此 知 會 本 公 司 股 東(「股 東」)及 潛 在 投 資 者,基 於 對 我 們 截 至 二 零 二 五 年 十 二 月 三 十 一 日 止 年 度(「二零二五年度」)之 未 經 審 核 綜 合 管 理 賬 目 及 董 事 會 現 時 所 得 資 料 作 出 之 初 步 評 估,預 計 二 零 二 五 年 度 錄 ...
信控国际资本(00993) - 董事会会议召开日期
2026-03-18 11:43
董事會會議召開日期 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 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的任何損失承擔任何責 任。 (於百慕達註冊成立之有限公司) (股份代號:993) 信 控 國 際 資 本 有 限 公 司(「本公司」)董 事 會(「董事會」)謹 此 宣 佈,本 公 司 將 於 二 零 二 六 年 三 月 三 十 日(星 期 一)舉 行 董 事 會 會 議,藉 以(其 中 包 括)考 慮 及 批 准 本 公司及其附屬公司截至二零二五年十二月三十一日止年度之全年業績公告及 其 發 佈。 承董事會命 信控國際資本有限公司 王 成 香 港,二 零 二 六 年 三 月 十 八 日 於 本 公 告 日 期,董 事 會 包 括 非 執 行 董 事 王 成 先 生 及 譚 杰 予 女 士,執 行 董 事 陳 慶 華 先 生 及 魯 昕 政 先 生,以 及 獨 立 非 執 行 董 事 洪 嘉 禧 先 生、馬 立 山 先 生 及 關 浣 非 先 生。 主 席 ...
信控国际资本(00993) - 截至二零二六年二月二十八日止月份之股份发行人的证券变动月报表
2026-03-02 03:18
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 呈交日期: 2026年3月2日 致:香港交易及結算所有限公司 公司名稱: 信控國際資本有限公司 截至月份: 2026年2月28日 狀態: 新提交 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) | 00993 | 說明 | | | | | | | | | | | | 法定/註冊股份數目 | | 面值 | | | 法定/註冊股本 | | | 上月底結存 | | | 1,000,000,000,000 | HKD | | 0.001 | HKD | | 1,000,000,000 | | 增加 / 減少 (-) | | | | | | | HKD | | | | 本月底結存 | | | 1,000,000,000,000 | HKD | | 0.001 | HKD | | 1,000,000, ...
信控国际资本(00993) - 截至二零二六年一月三十一日止月份之股份发行人的证券变动月报表
2026-02-04 03:40
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 截至月份: 2026年1月31日 狀態: 新提交 致:香港交易及結算所有限公司 公司名稱: 信控國際資本有限公司 呈交日期: 2026年2月4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) | 00993 | 說明 | | | | | | | | | | | | 法定/註冊股份數目 | | 面值 | | | 法定/註冊股本 | | | 上月底結存 | | | 1,000,000,000,000 | HKD | | 0.001 | HKD | | 1,000,000,000 | | 增加 / 減少 (-) | | | | | | | HKD | | | | 本月底結存 | | | 1,000,000,000,000 | HKD | | 0.001 | HKD | | 1,000,000, ...
信控国际资本(00993) - 补充公告持续关连交易
2026-01-27 10:58
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 對 因 本 公 告 全部或任何部分內容而產生或因依賴該等內容而引致之任何損失承擔任何責 任。 (於百慕達註冊成立之有限公司) (股份代號:993) 補充公告 持續關連交易 茲 提 述 信 控 國 際 資 本 有 限 公 司(「本公司」)日 期 為 二 零 二 六 年 一 月 十 九 日 有 關 本 公 司 與 中 國 中 信 金 融 資 產 國 際 控 股 有 限 公 司(「中信金融資產國際控股」)訂 立 有 關 提 供 金 融 服 務 之 框 架 協 議 之 公 告(「該公告」)。除 另 有 指 明 者 外,本 公 告 所 用 詞 彙 與 該 公 告 所 界 定 者 具 有 相 同 涵 義。 除 該 公 告 所 披 露 資 料 以 外,本 公 司 謹 此 提 供 以 下 補 充 資 料,內 容 有 關 框 架 協 議 項 下 擬 進 行 交 易 之 定 價 政 策 及 內 部 監 控 措 施。 定價政策 基 於 對 每 項 委 聘 的 特 ...
信控国际资本与中信金融资产国际控股订立框架协议
Zhi Tong Cai Jing· 2026-01-19 04:35
Core Viewpoint - The company has entered into a framework agreement with CITIC Financial Asset International Holdings to provide various financial services to related clients from January 19, 2026, to December 31, 2028, which is expected to enhance business opportunities and expand its licensed business scale, particularly in the distressed asset sector [1][2]. Group 1 - The company will offer brokerage services, corporate financial advisory services, and asset management services during the agreement period [1]. - CITIC Financial Asset International Holdings focuses on distressed asset management and provides customized financial services for "large distressed" assets [1]. - The company is expected to benefit from significant synergies through continued collaboration with CITIC Financial Asset International Holdings and its extensive client network in Hong Kong and China [2].
信控国际资本(00993)与中信金融资产国际控股订立框架协议
智通财经网· 2026-01-19 04:35
Core Viewpoint - The company, 信控国际资本, has entered into a framework agreement with 中信金融资产国际控股 to provide various financial services to related clients from January 19, 2026, to December 31, 2028, which is expected to enhance business opportunities and expand its licensed business scale, particularly in the distressed asset sector [1][2]. Group 1 - The framework agreement includes services such as brokerage, underwriting, corporate financial advisory, and asset management [1]. - 中信金融资产国际控股 focuses on distressed asset management and provides customized financial services throughout the asset lifecycle [1]. - The ownership structure of 中信金融资产国际控股 indicates that it is primarily owned by 中国中信金融资产 and 中信金资致远企业管理有限公司, with respective stakes of approximately 84.84% and 15.16% [1]. Group 2 - The board anticipates that collaboration with related clients will lead to increased business opportunities for the company [2]. - The partnership is expected to create significant synergies for the company's future business development [2]. - The company aims to leverage its extensive client network in Hong Kong and China to expand its operations in the distressed asset industry [2].