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粤海投资(00270.HK)公布中期业绩 溢利增加11.2%至26.82亿港元 资本负债率大幅下降
Ge Long Hui·2025-08-25 12:58

Core Viewpoint - The company reported a significant increase in revenue and profit for the six months ending June 30, 2025, indicating strong financial performance and a positive outlook for future growth opportunities [1][2]. Financial Performance - The group's unaudited revenue from continuing operations reached HKD 94.28 billion, with a 9.1% increase in profit attributable to owners amounting to HKD 26.99 billion compared to HKD 24.73 billion in 2024 [1]. - The unaudited comprehensive profit attributable to owners increased by 11.2% to HKD 26.82 billion, up from HKD 24.11 billion in 2024 [1]. - The board declared an interim dividend of HKD 0.2666 per ordinary share, an increase from HKD 0.2397 in 2024 [1]. Debt and Financial Ratios - As of June 30, 2025, the capital debt ratio for continuing operations was 24.7%, a decrease from 30.9% on December 31, 2024 [1]. - The company's debt repayment and interest coverage remained robust, with an EBITDA to financial expenses ratio of 16.2 times as of June 30, 2025, compared to 10.5 times on December 31, 2024 [1]. Strategic Focus - The company aims to extend its water resources segment into high value-added areas, focusing on business structure transformation and upgrading [2]. - There is an emphasis on optimizing asset portfolios and resource allocation while actively seeking investment and acquisition opportunities related to the "Guangdong-Hong Kong-Macao Greater Bay Area Development Plan" [2]. - The company seeks to achieve breakthroughs in profit growth and enhance overall operational performance and value [2].