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智城发展控股盘初涨近14% 拟折让配股最多净筹约950万港元
Xin Lang Cai Jing· 2026-02-24 01:45
责任编辑:卢昱君 客户端 热点栏目 自选股 数据中心 行情中心 资金流向 模拟交易 客户端 智城发展控股(08268)早盘高开近14%,截至发稿,股价上涨4.62%,现报0.34港元,成交额60.48万港 元。 智城发展控股发布公告,于2026年2月23日,该公司拟透过配售代理配售最多3333万股配售股份,每股 配售股份0.30港元,较配售协议日期联交所所报每股股份的收市价0.325港元折让约7.69%。 假设所有配售股份获全数配售,最多净筹约950万港元。约30.3%用于偿还集团的尚未偿还贷款;约 30.3%用于扩展集团的放债业务;约24.2%用于扩展集团的证券投资业务;及约15.2%用于补充集团的一 般营运资金,其将用于员工成本、专业费用及集团的其他营运开支。 热点栏目 自选股 数据中心 行情中心 资金流向 模拟交易 智城发展控股(08268)早盘高开近14%,截至发稿,股价上涨4.62%,现报0.34港元,成交额60.48万港 元。 智城发展控股发布公告,于2026年2月23日,该公司拟透过配售代理配售最多3333万股配售股份,每股 配售股份0.30港元,较配售协议日期联交所所报每股股份的收市价0.32 ...
智城发展控股高开近14% 拟折让配股最多净筹约950万港元
Zhi Tong Cai Jing· 2026-02-24 01:36
智城发展控股(08268)高开近14%,截至发稿,涨13.85%,报0.37港元,成交额18.65万港元。 消息面上,智城发展控股发布公告,于2026年2月23日,该公司拟透过配售代理配售最多3333万股配售 股份,每股配售股份0.30港元,较配售协议日期联交所所报每股股份的收市价0.325港元折让约7.69%。 假设所有配售股份获全数配售,最多净筹约950万港元。约30.3%用于偿还集团的尚未偿还贷款;约 30.3%用于扩展集团的放债业务;约24.2%用于扩展集团的证券投资业务;及约15.2%用于补充集团的一 般营运资金,其将用于员工成本、专业费用及集团的其他营运开支。 ...
港股异动 | 智城发展控股(08268)高开近14% 拟折让配股最多净筹约950万港元
智通财经网· 2026-02-24 01:32
智通财经APP获悉,智城发展控股(08268)高开近14%,截至发稿,涨13.85%,报0.37港元,成交额18.65 万港元。 消息面上,智城发展控股发布公告,于2026年2月23日,该公司拟透过配售代理配售最多3333万股配售 股份,每股配售股份0.30港元,较配售协议日期联交所所报每股股份的收市价0.325港元折让约7.69%。 假设所有配售股份获全数配售,最多净筹约950万港元。约30.3%用于偿还集团的尚未偿还贷款;约 30.3%用于扩展集团的放债业务;约24.2%用于扩展集团的证券投资业务;及约15.2%用于补充集团的一 般营运资金,其将用于员工成本、专业费用及集团的其他营运开支。 ...
智城发展控股(08268)拟折让约7.69%配股 最多净筹约950万港元
智通财经网· 2026-02-23 13:32
假设所有配售股份获全数配售,最多净筹约950万港元。约30.3%用于偿还集团的尚未偿还贷款;约30.3% 用于扩展集团的放债业务;约24.2%用于扩展集团的证券投资业务;及约15.2%用于补充集团的一般营运资 金,其将用于员工成本、专业费用及集团的其他营运开支。 智通财经APP讯,智城发展控股(08268)公布,于2026年2月23日,该公司拟透过配售代理配售最多3333 万股配售股份,每股配售股份0.30港元,较配售协议日期联交所所报每股股份的收市价0.325港元折让约 7.69%。 ...
智城发展控股(08268) - 根据一般授权配售新股份
2026-02-23 13:13
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 或任何部分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。 本公告僅供參考,並不構成收購、購買或認購證券的邀請或招攬要約,或邀請訂 立 協 議 以 進 行 任 何 該 等 事 宜,亦 不 被 視 作 邀 請 收 購、購 買 或 認 購 任 何 證 券 的 任 何要約。 SMART CITY DEVELOPMENT HOLDINGS LIMITED 智城發展控股有限公司 (於開曼群島註冊成立的有限公司) (股份代號:8268) 配 售 股 份 將 根 據 一 般 授 權 予 以 配 發 及 發 行,且 將 配 發 予 不 少 於 六 名 承 配 人。 該等承配人及其最終實益擁有人均為獨立第三方。本公司將向上市委員會申 請批准配售股份上市及買賣。 – 1 – 假設所有配售股份獲全數配售,配售事項所得款項總額上限預計約為9,999,000 港 元。配 售 事 項 所 得 款 項 淨 額(經 扣 除 應 付 配 售 代 理 的 佣 金 以 及 配 售 事 項 產 生 的 ...
智城发展控股(08268) - 截至2026年1月31日之股份发行人的证券变动月报表
2026-02-03 10:03
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: 智城發展控股有限公司 (於開曼群島註冊成立之有限責任公司) 呈交日期: 2026年2月3日 I. 法定/註冊股本變動 FF301 | 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) | 08268 | 說明 | | | | | | | | | | 法定/註冊股份數目 | | | 面值 | | 法定/註冊股本 | | | 上月底結存 | | | 800,000,000 | HKD | | 0.125 HKD | | 100,000,000 | | 增加 / 減少 (-) | | | 0 | | | HKD | | 0 | | 本月底結存 | | | 800,000,000 | HKD | | 0.125 HKD | | 100,000,000 | ...
智城发展控股(08268) - 截至2025年12月31日之股份发行人的证券变动月报表
2026-01-06 03:00
FF301 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: 2025年12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: 智城發展控股有限公司 (於開曼群島註冊成立之有限責任公司) 呈交日期: 2026年1月6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) | 08268 | 說明 | | | | | | | | | | 法定/註冊股份數目 | | | 面值 | | 法定/註冊股本 | | | 上月底結存 | | | 800,000,000 | HKD | | 0.125 HKD | | 100,000,000 | | 增加 / 減少 (-) | | | 0 | | | HKD | | 0 | | 本月底結存 | | | 800,000,000 | HKD | | 0.125 HKD | | 100,000,000 ...
智城发展控股(08268) - 2026 - 中期财报
2025-12-03 08:45
Financial Performance - Revenue for the six months ended September 30, 2025, was HK$213,630,000, an increase of 5.9% compared to HK$201,705,000 in the same period of 2024[9] - Gross profit decreased to HK$8,016,000, down 26.0% from HK$10,826,000 year-on-year[9] - Loss before tax for the reporting period was HK$9,520,000, compared to a loss of HK$8,782,000 in the previous year, indicating a 8.4% increase in losses[9] - Basic and diluted loss per share improved slightly to HK(3.31) cents from HK(3.58) cents in the prior period[9] - The company reported a loss before tax of HK$9,520,000 for the six months ended 30 September 2025, compared to a loss of HK$8,782,000 in the same period of 2024, indicating a year-over-year increase in losses of approximately 8.4%[18] - The Group reported a loss on disposal of subsidiaries amounting to HK$583,000 for the six months ended September 30, 2025[34] - The Group reported a fair value loss on financial assets of HK$626,000 for the period, compared to a gain of HK$1,523,000 in the previous year[18] - The Group recorded a gross profit of approximately HK$8.0 million, a decrease of approximately HK$2.8 million or 25.9% from the previous period[118][122] - The gross profit margin for the Reporting Period was approximately 3.8%, down by approximately 1.6 percentage points from 5.4% in the previous period[118][123] Assets and Liabilities - Total non-current assets decreased to HK$49,278,000 from HK$62,913,000, reflecting a decline of 21.0%[11] - Current assets totaled HK$168,692,000, down from HK$249,733,000, representing a decrease of 32.4%[11] - Total current liabilities decreased significantly to HK$114,056,000 from HK$198,837,000, a reduction of 42.6%[11] - Net assets as of September 30, 2025, were HK$102,083,000, down from HK$111,603,000, a decline of 8.5%[13] - The total accounts payable as of September 30, 2025, was HK$5,925,000, a decrease from HK$23,401,000 as of March 31, 2025[72] - The Group's accounts receivable decreased by approximately HK$25.9 million or 79.8% as at 30 September 2025, mainly due to the disposal of a building construction company[134] - The impairment of accounts receivable decreased to HK$1,973,000 from HK$3,217,000, indicating improved credit management[62] Cash Flow - The total cash and cash equivalents at the end of the period were HK$26,179,000, a decrease of 50% from HK$52,507,000 at the end of the same period in 2024[20] - Net cash flows used in operating activities amounted to HK$39,124,000 for the six months ended September 30, 2025, compared to HK$11,010,000 for the same period in 2024, reflecting a significant increase in cash outflow[20] - The company generated net cash flows from investing activities of HK$13,249,000, an increase from HK$3,175,000 in the prior year, primarily due to net proceeds from the disposal of subsidiaries amounting to HK$17,686,000[20] - The net cash inflow from the disposal of Colton Group was HK$17,686,000 after accounting for cash and cash equivalents disposed of[81] Revenue Segmentation - The construction contracting segment generated revenue of HK$211,290,000, while the money lending business contributed HK$2,527,000 in revenue for the six months ended September 30, 2025[34] - Revenue from contracts with customers for the six months ended September 30, 2025, was HK$211,290,000, reflecting the Group's focus on construction contracting[34] - Revenue from contracts with customers for the six months ended 30 September 2025 was HK$211,290,000, an increase of 7.4% compared to HK$197,120,000 for the same period in 2024[42] - Revenue from E&M works was approximately HK$111,876,000, representing an increase of approximately 24.1% due to various projects including the Sports Centre and Auditorium for Jockey Club One Health Tower[100][101] - Revenue from interior fitting-out works increased by approximately 26.1% to HK$15,099,000, primarily due to a contract for the provision of electric locks security system[105][107] Expenses - The company reported a decrease in administrative expenses to HK$17,990,000 from HK$21,526,000, a reduction of 16.5%[9] - Total other income and gains decreased to HK$1,047,000 from HK$1,744,000, a decline of 40%[41] - Rental income from property investment decreased to HK$190,000 from HK$297,000, a drop of 36%[47] - Interest income for the six months ended September 30, 2025, was HK$814,000, down from HK$1,371,000 in the same period of 2024[34][35] - The Group's total employee benefit expenses for the Reporting Period amounted to approximately HK$12,950,000, a decrease of approximately HK$2,070,000 or 13.8% compared to HK$15,020,000 for the same period in 2024[183] Shareholder Information - The company does not recommend the payment of any interim dividend for the reporting period, consistent with the previous year[60] - Basic loss per share attributable to ordinary equity holders was calculated based on a weighted average of 288,000,000 shares, compared to 244,983,607 shares in 2024[54] - The weighted average number of ordinary shares in issue during the period was 288,000,000, an increase from 244,983,607 in the previous year[59] - The 2025 Share Option Scheme allows for the issuance of share options equivalent to 10% of the total number of issued shares, with a total of 28,800,000 shares available under the Scheme Limit as of both the approval date and September 30, 2025[191] - No share options were granted under the 2025 Share Option Scheme during the reporting period and up to the reporting date[199] Market Outlook and Strategy - The construction market in Hong Kong is expected to remain competitive, but the Group aims to strengthen its market position through proven track record and AI technology[156][158] - The Group plans to exercise caution in tendering for new contracts and focus on more profitable E&M works and interior fitting out sectors[160][162] - The Group's money lending business is expected to provide a positive impact and return despite increasing competition and uncertainty in the market[169] - The Board will adopt cautious measures to manage the Group's investment portfolio aiming for positive returns in the near future due to recent stock market volatility[165] Corporate Governance - Employee compensation policies are reviewed and approved by the board, with discretionary bonuses and share options awarded based on individual performance and group objectives[188] - The 2025 Share Option Scheme includes provisions for independent non-executive director approval for options granted to directors or substantial shareholders[194] - Eligible participants under the 2025 Share Option Scheme include employee participants and related entity participants, aimed at recognizing their contributions to the group[190]
智城发展控股(08268) - 截至2025年11月30日之股份发行人的证券变动月报表
2025-12-03 04:52
FF301 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: 2025年11月30日 狀態: 新提交 FF301 II. 已發行股份及/或庫存股份變動 | 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) | 08268 | 說明 | | | | | | | | | 已發行股份(不包括庫存股份)數目 | | 庫存股份數目 | | 已發行股份總數 | | | 上月底結存 | | | 288,000,000 | | 0 | | 288,000,000 | | 增加 / 減少 (-) | | | 0 | | 0 | | | | 本月底結存 | | | 288,000,000 | | 0 | | 288,000,000 | 致:香港交易及結算所有限公司 公司名稱: 智城發展控股有限公司 (於開曼群島註冊成立之有限責任公司) 呈交日期: 2025年12月3日 I. 法定/註冊股本變動 | 1. 股份 ...
智城发展控股发布中期业绩,净亏损952万港元 同比增加8.4%
Zhi Tong Cai Jing· 2025-11-26 13:50
Core Viewpoint - The company reported a revenue of HKD 214 million for the six months ending September 30, 2025, representing a year-on-year increase of 5.91%. However, it also recorded a loss of HKD 9.52 million, which is an increase of 8.4% compared to the previous year, with a loss per share of HKD 0.0331 [1] Financial Performance - Revenue for the period was HKD 214 million, up 5.91% year-on-year [1] - The company incurred a loss of HKD 9.52 million, which is an increase of 8.4% year-on-year [1] - Loss per share was reported at HKD 0.0331 [1] Revenue Drivers - The increase in revenue was primarily attributed to the recognition of income from the construction segment [1]