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東瀛遊:2024 中期報告

EGL HOLDINGS: 2024 Interim Report

HKEX ·  Sep 26 16:30

Summary by Futu AI

東瀛遊控股有限公司(「本公司」)公布截至2024年6月30日止六個月的中期財務報告。本公司及其附屬公司(「本集團」)的收益達759,308,000港元,較去年同期增長40.6%。毛利為180,249,000港元,增長31.7%,而本公司擁有人應佔溢利為34,120,000港元,增長64.9%。本期間,本集團的旅遊相關業務及酒店業務表現良好,推動收益及溢利增長。本集團的旅行團收益增至662,800,000港元,而酒店業務收益為57,213,000港元。本集團於報告期間的資本承擔為948,000港元,主要用於購置物業、廠房及設備。董事會不建議派付截至2024年6月30日止六個月的中期股息。本集團的財務狀況穩健,截至2024年6月30日,淨資產為59,539,000港元。
東瀛遊控股有限公司(「本公司」)公布截至2024年6月30日止六個月的中期財務報告。本公司及其附屬公司(「本集團」)的收益達759,308,000港元,較去年同期增長40.6%。毛利為180,249,000港元,增長31.7%,而本公司擁有人應佔溢利為34,120,000港元,增長64.9%。本期間,本集團的旅遊相關業務及酒店業務表現良好,推動收益及溢利增長。本集團的旅行團收益增至662,800,000港元,而酒店業務收益為57,213,000港元。本集團於報告期間的資本承擔為948,000港元,主要用於購置物業、廠房及設備。董事會不建議派付截至2024年6月30日止六個月的中期股息。本集團的財務狀況穩健,截至2024年6月30日,淨資產為59,539,000港元。
egl holdings Limited (the "Company") announces the interim financial report for the six months ended June 30, 2024. The revenue of the Company and its subsidiaries (the "Group") reached HKD 759,308,000, an increase of 40.6% compared to the same period last year. The gross profit was HKD 180,249,000, an increase of 31.7%, while the profit attributable to owners of the Company was HKD 34,120,000, an increase of 64.9%. During this period, the Group's travel-related business and hotel business performed well, driving revenue and profit growth. The Group's tour revenue increased to HKD 662,800,000, while the hotel business revenue was HKD 57,213,000. The Group's capital commitments during the reporting period amounted to HKD 948,000, mainly used for the purchase of property, plant, and equipment. The board of directors does not recommend the payment of interim dividends for the six months ended June 30, 2024. The Group's financial position is solid, with net assets of HKD 59,539,000 as of June 30, 2024.
egl holdings Limited (the "Company") announces the interim financial report for the six months ended June 30, 2024. The revenue of the Company and its subsidiaries (the "Group") reached HKD 759,308,000, an increase of 40.6% compared to the same period last year. The gross profit was HKD 180,249,000, an increase of 31.7%, while the profit attributable to owners of the Company was HKD 34,120,000, an increase of 64.9%. During this period, the Group's travel-related business and hotel business performed well, driving revenue and profit growth. The Group's tour revenue increased to HKD 662,800,000, while the hotel business revenue was HKD 57,213,000. The Group's capital commitments during the reporting period amounted to HKD 948,000, mainly used for the purchase of property, plant, and equipment. The board of directors does not recommend the payment of interim dividends for the six months ended June 30, 2024. The Group's financial position is solid, with net assets of HKD 59,539,000 as of June 30, 2024.

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