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PGF Capital's 1QFY25 Profit Surged 71.8% To RM6.7 Million

PGF Capital's 1QFY25 Profit Surged 71.8% To RM6.7 Million

PGF Capital的2025财年第一季度利润激增71.8%,达到670万令吉。
Business Today ·  07/29 06:49

PGF Capital Berhad has today announced its first quarter financial results for the period ended 31 May 2024 reporting a strong financial performance in 1QFY25, with revenue surging 42.1% Year-on-Year to RM40.5 million compared to RM28.5 million in the corresponding period a year ago.

PGF资本Berhad今天宣布了截至2024年5月31日的第一季度财务业绩报告,1QFY25的财务表现强劲,营业收入同比增长42.1%,达到4050万马币,而在一年前的相应时期为2850万马币。

The Group said the substantial growth was largely attributed to higher sales contributions from the insulation segment on the back of strong demand from the Oceania market. Consequently, 1QFY25's overall profit after tax soared to RM6.7 million from RM3.9 million reported in 1QFY24, marking a 71.8% YoY increase.

集团表示,这一大幅增长主要归因于隔热板块的销售贡献率大幅提高,得益于来自大洋洲市场的强劲需求。因此,1QFY25的净利润从1QFY24的390万马币上升至670万马币,同比增长71.8%。

Segmentally, the insulation segment remained the core revenue generator, accounting for 99.5% of total revenue. The remaining business segments, namely property development, investment holding and the others segments had negligible impact on overall performance.

从业务细分看,隔热板块仍然是核心营收来源,占总营收的99.5%。其余业务板块,即物业开发、投资控股和其他板块,对整体业绩影响较小。

The Group maintained a strong balance sheet with net cash position as of 31 May 2024. Net assets per share increased to RM1.41 from RM1.29 at the end of the preceding financial year ("FY24"). Additionally, the Group continued to generate positive net operating cash flow, recording RM3.4 million for the quarter under review.

集团截至2024年5月31日仍保持强劲资产负债表,净现金头寸良好。每股净资产从上一财务年度("FY24")末的1.29马币增加至1.41马币。此外,集团继续产生正向的净经营现金流,本季度审查记录了340万马币。

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