HONG KONG, Dec. 19, 2024 (GLOBE NEWSWIRE) -- Neo-Concept International Group Holdings Limited ("NCI" or the "Company") (NASDAQ: NCI), today announced its unaudited financial results for the six months ended June 30, 2024.
Overview:
- Revenue was approximately HK$79.3 million (US$10.2 million) for the six months ended June 30, 2024, representing an increase of approximately 1.7% from the same period in 2023.
- Net income was approximately HK$1.4million (US$0.2 million) for the six months ended June 30, 2024 (2023: net losses approximately HK$5.2 million).
Six Month Financial Results Ended June 30, 2024
Revenue. Revenue increased by approximately 1.7% from approximately HK$78.0 million for the six months ended June 30, 2023 to approximately HK$79.3 million (approximately US$10.2 million) for the six months ended June 30, 2024. The increase was mainly caused by the increase in retail sales of owned-branded apparel products in the United Kingdom by 95.3% to HKD11.5 million (approximately US$1.5 million) for the six months ended June 30, 2024, from HKD5.9 million for the six months ended June 30, 2023 as a result of full period operation of new retail outlets in London. The increase in retail sales of owned-branded apparel products was offset by the decrease in sales of private-labelled apparel products, which decreased by approximately 5.9% to approximately HK$67.8 million (approximately US$4.3 million) for the six months ended June 30, 2024 from approximately HK$72.0 million for the six months ended June 30, 2023.
Selling, general and administrative expenses. Selling, general and administrative expenses increased by approximately 12.7% from approximately HK$13.9 million for the six months ended June 30, 2023 to approximately HK$15.9 million (US$2.0 million) for the six months ended June 30, 2024, which was mainly due to (i) increase in staff costs from increase in payroll to our staff and fees to our independent directors; (ii) increase in rental and office expenses due to operation expansion such as new retail outlets.
Other income, net. Other income representing agency fee received increased approximately HK$2.4 million (approximately US$0.3 million) for the six months ended June 30, 2024.
Income tax expense. Income tax expense was nil for the for the six months ended June 30, 2024 (six months ended June 30, 2023: nil) as we either incurred tax losses or we had available tax losses brought forward.
Net income. Net income increased by approximately HK$6.6 million to approximately HK$1.4 million (US$0.2 million) for the for the six months ended June 30, 2024 from net losses of approximately HK$5.2 million for the for the six months ended June 30, 2023, which was mainly due to the increase in both revenue and gross profit.
Basic and diluted EPS. Basic and diluted EPS were approximately HK$0.07 (US$0.01) per ordinary share for the six months ended June 30, 2024, as compared to loss per share of (HK$0.29) per ordinary share for the six months ended June 30, 2023, respectively.
About Neo-Concept International Group Holdings Limited
Neo-Concept International Group Holdings Limited ("NCI") is a one-stop apparel solution services provider. It offers a full suite of services in the apparel supply chain, including market trend analysis, product design and development, raw material sourcing, production and quality control, and logistics management serving customers located in the European and North American markets. It also sells its own branded apparel products under the brand "Les100Ciels" through retail stores in UK as well as the e-commerce platform .
NCI is dedicated to minimizing its environmental footprint by implementing various eco-friendly practices. It prioritizes recycling, clean processes, and traceable sourcing as part of its commitment to reducing environmental impact. Additionally, NCI actively seeks sustainable solutions throughout the garment production process, aiming to meet the needs of its customers in an environmentally responsible manner.
Exchange Rate Information
This announcement contains translations of certain HK$ amounts into U.S. dollars ("US$") at specified rates solely for the convenience of the reader. Unless otherwise stated, all translations from HK$ to US$ were made at the rate of HK$7.8083 to US$1.00, the exchange rate on June 28, 2024 set forth in the H.10 statistical release of the Federal Reserve Board. The Company makes no representation that the HK$ or US$ amounts referred could be converted into US$ or HK$, as the case may be, at any particular rate or at all.
SAFE HARBOR STATEMENTS
Certain statements in this announcement are forward-looking statements. These forward-looking statements involve known and unknown risks and uncertainties and are based on the Company's current expectations and projections about future events that the Company believes may affect its financial condition, results of operations, business strategy and financial needs. Investors can identify these forward-looking statements by words or phrases such as "may," "will," "expect," "anticipate," "aim," "estimate," "intend," "plan," "believe," "is/are likely to," "potential," "continue" or other similar expressions. The Company undertakes no obligation to update or revise publicly any forward-looking statements to reflect subsequent occurring events or circumstances, or changes in its expectations, except as may be required by law. Although the Company believes that the expectations expressed in these forward-looking statements are reasonable, it cannot assure you that such expectations will turn out to be correct, and the Company cautions investors that actual results may differ materially from the anticipated results and encourages investors to review other factors that may affect its future results in the Company's registration statement and other filings with the SEC, which are available for review at www.sec.gov.
Enquiries:
Neo-Concept International Group Holdings Limited Investor Relations Contact:
10/F, Seaview Centre
No.139-141 Hoi Bun Road
Kwun Tong, Kowloon, Hong Kong
(+852) 2798-8639
Email: ir@neo-ig.com
NEO-CONCEPT INTERNATIONAL GROUP HOLDINGS LIMITED UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS |
|
| | December 31, | | | As of June 30, | |
| | 2023 | | | 2024 | | | 2024 | |
| | HKD | | | HKD | | | US$ | |
ASSETS | | | | | | | | | |
CURRENT ASSETS | | | | | | | | | |
Cash and cash equivalents | | | 5,849,306 | | | | 4,673,976 | | | | 598,591 | |
Accounts receivable, net | | | 32,343,592 | | | | 21,542,687 | | | | 2,758,947 | |
Other current assets, net | | | 20,225,722 | | | | 53,316,186 | | | | 6,828,143 | |
Inventories, net | | | 5,320,199 | | | | 5,462,892 | | | | 699,626 | |
Total current assets | | | 63,738,819 | | | | 84,995,741 | | | | 10,885,307 | |
| | | | | | | | | | | | |
OTHER ASSETS | | | | | | | | | | | | |
Property and equipment, net | | | 1,297,682 | | | | 2,690,729 | | | | 344,599 | |
Right-of-use assets, net | | | 23,884,854 | | | | 24,513,952 | | | | 3,139,474 | |
Intangible assets, net | | | — | | | | 15,391,236 | | | | 1,971,138 | |
Other non-current assets, net | | | 1,695,473 | | | | 2,406,626 | | | | 308,214 | |
Tax recoverable | | | — | | | | 1,704,657 | | | | 218,313 | |
Total non-current assets | | | 26,878,009 | | | | 46,707,200 | | | | 5,981,738 | |
Total assets | | | 90,616,828 | | | | 131,702,941 | | | | 16,867,045 | |
| | | | | | | | | | | | |
LIABILITIES AND SHAREHOLDERS' DEFICIT | | | | | | | | | | | | |
CURRENT LIABILITIES | | | | | | | | | | | | |
Bank borrowings | | | 30,753,400 | | | | 51,047,760 | | | | 6,537,628 | |
Accruals and other payables | | | 3,205,704 | | | | 6,261,628 | | | | 801,919 | |
Due to related parties | | | 34,243,244 | | | | 49,087 | | | | 6,287 | |
Operating lease liabilities | | | 708,829 | | | | 1,622,876 | | | | 207,840 | |
Tax payable | | | 916,436 | | | | — | | | | — | |
Total current liabilities | | | 69,827,613 | | | | 58,981,351 | | | | 7,553,674 | |
| | | | | | | | | | | | |
NON-CURRENT LIABILITIES | | | | | | | | | | | | |
Operating lease liabilities | | | 23,176,025 | | | | 22,891,076 | | | | 2,931,634 | |
Total non-current liabilities | | | 23,176,025 | | | | 22,891,076 | | | | 2,931,634 | |
Total liabilities | | | 93,003,638 | | | | 81,872,427 | | | | 10,485,308 | |
| | | | | | | | | | | | |
COMMITMENTS AND CONTINGENCIES | | | — | | | | — | | | | — | |
| | | | | | | | | | | | |
SHAREHOLDERS' (DEFICIT) EQUITY | | | | | | | | | | | | |
Ordinary shares: US$0.0000625 par value, 800,000,000 shares authorized as of December 31, 2023 and June 30, 2024, 18,000,000 shares and 20,320,000 issued and outstanding as of December 31, 2023 and June 30, 2024, respectively | | | 8,775 | | | | 9,906 | | | | 1,269 | |
Additional paid-in capital | | | 55,091,225 | | | | 105,776,106 | | | | 13,546,624 | |
Accumulated other comprehensive income | | | 844,791 | | | | 963,495 | | | | 123,394 | |
Accumulated losses | | | (58,331,601) | | | | (56,918,993) | | | | (7,289,550) | |
Total shareholders' (deficit) equity | | | (2,386,810) | | | | 49,830,514 | | | | 6,381,737 | |
Total liabilities and shareholders' (deficit) equity | | | 90,616,828 | | | | 131,702,941 | | | | 16,867,045 | |
NEO-CONCEPT INTERNATIONAL GROUP HOLDINGS LIMITED UNAUDITED CONDENSED STATEMENTS OF INCOME AND COMPREHENSIVE INCOME |
|
| | For the six months ended June 30, | |
| | 2023 | | | 2024 | | | 2024 | |
| | HKD | | | HKD | | | US$ | |
REVENUES, NET | | | 77,915,027 | | | | 79,256,623 | | | | 10,150,305 | |
| | | | | | | | | | | | |
COST OF REVENUES | | | | | | | | | | | | |
- Related parties | | | (22,713,298) | | | | (21,206,685) | | | | (2,715,916) | |
- External | | | (43,040,030) | | | | (41,690,622) | | | | (5,339,270) | |
| | | (65,753,328) | | | | (62,897,307) | | | | (8,055,186) | |
Gross profit | | | 12,161,699 | | | | 16,359,316 | | | | 2,095,119 | |
| | | | | | | | | | | | |
EXPENSES | | | | | | | | | | | | |
Selling and marketing | | | (1,232,254) | | | | (2,045,399) | | | | (261,952) | |
General and administrative | | | (12,618,644) | | | | (13,827,207) | | | | (1,770,834) | |
Total expenses | | | (13,850,898) | | | | (15,872,606) | | | | (2,032,786) | |
(LOSS) INCOME FROM OPERATION | | | (1,689,199) | | | | 486,710 | | | | 62,333 | |
| | | | | | | | | | | | |
OTHER (EXPENSES) INCOME | | | | | | | | | | | | |
Interest income | | | 10,038 | | | | 49,895 | | | | 6,390 | |
Interest expense | | | (3,478,595) | | | | (1,460,788) | | | | (187,081) | |
Other income | | | — | | | | 2,361,596 | | | | 302,447 | |
Other loss, net | | | (20,063) | | | | (24,805) | | | | (3,177) | |
Total other (expenses) and income, net | | | (3,488,620) | | | | 925,898 | | | | 118,579 | |
(LOSS) INCOME BEFORE INCOME TAXE EXPENSES | | | (5,177,819) | | | | 1,412,608 | | | | 180,912 | |
INCOME TAX EXPENSES | | | — | | | | — | | | | — | |
NET (LOSS) INCOME | | | (5,177,819) | | | | 1,412,608 | | | | 180,912 | |
FOREIGN CURRENCY TRANSLATION ADJUSTMENT | | | (1,230,850) | | | | 118,704 | | | | 15,202 | |
TOTAL COMPREHENSIVE (LOSS) INCOME | | | (6,408,669) | | | | 1,531,312 | | | | 196,114 | |
Weighted average number of ordinary shares: | | | | | | | | | | | | |
Basic and diluted | | | 18,000,000 | | | | 18,892,308 | | | | 18,892,308 | |
(LOSS) EARNINGS PER SHARE | | | (0.29) | | | | 0.07 | | | | 0.01 | |
香港、2024年12月19日(GLOBE NEWSWIRE)— ネオコンセプト・インターナショナル・グループ・ホールディングス・リミテッド(「NCI」または「当社」)(NASDAQ:NCI)は本日、2024年6月30日までの6か月間の未監査決算を発表しました。
概要:
- 2024年6月30日までの6か月間の収益は約7,930万香港ドル(1,020万米ドル)で、2023年の同時期から約1.7%増加しました。
- 2024年6月30日までの6か月間(2023年:純損失は約520万香港ドル)の純利益は約140万香港ドル(20万米ドル)でした。
2024年6月30日に終了した6か月間の財務結果
収入。収益は、2023年6月30日までの6か月間の約7,800万香港ドルから、2024年6月30日までの6か月間の約7,930万香港ドル(約1,020万米ドル)に約1.7%増加しました。この増加は主に、英国の自社ブランドアパレル製品の小売売上高が、ロンドンで新しい小売店が全期間運営された結果、2023年6月30日までの6か月間の590万香港ドルから、2024年6月30日までの6か月間で95.3%増加して1150万香港ドル(約150万米ドル)になったことが原因です。自社ブランドアパレル製品の小売売上高の増加は、プライベートブランドアパレル製品の売上の減少によって相殺されました。これは、2023年6月30日までの6か月間の約7,200万香港ドルから、2024年6月30日までの6か月間の約6,780万香港ドル(約430万米ドル)に約5.9%減少して約6,780万香港ドル(約430万米ドル)になりました。
販売費、一般管理費。販売、一般、および管理費は、2023年6月30日までの6か月間の約1,390万香港ドルから、2024年6月30日までの6か月間の約1,590万香港ドル(200万米ドル)に約12.7%増加しました。これは主に、(i)当社のスタッフへの給与および独立取締役への手数料の増加による人件費の増加、(ii)次のような事業拡大による賃貸および事務費の増加によるものです新しい小売店。
その他の収益、純額。代理店手数料に相当するその他の収益は、2024年6月30日までの6か月間で約240万香港ドル(約30万米ドル)増加しました。
所得税費用。2024年6月30日までの6か月間(2023年6月30日までの6か月間:ゼロ)の所得税費用はゼロでした。これは、税金損失が発生したか、利用可能な税金損失が繰り越されたためです。
純利益。2023年6月30日までの6か月間の純損失は約520万香港ドルでしたが、2024年6月30日までの6か月間の純利益は約660万香港ドル増加して約140万香港ドル(20万米ドル)になりました。これは主に収益と総利益の両方の増加によるものです。
ベーシックEPSと希薄化後のEPS。2024年6月30日までの6か月間の基本EPSと希薄化後のEPSは普通株式1株あたり約0.07香港ドル(0.01米ドル)でしたが、2023年6月30日までの6か月間の普通株式1株あたりの損失はそれぞれ0.29香港ドルでした。
ネオコンセプト・インターナショナル・グループ・ホールディングス・リミテッドについて
ネオコンセプト・インターナショナル・グループ・ホールディングス・リミテッド(「NCI」)は、ワンストップのアパレルソリューションサービスプロバイダーです。市場動向分析、製品の設計と開発、原材料の調達、生産と品質管理、ヨーロッパと北米市場の顧客への物流管理など、アパレルサプライチェーンにおける一連のサービスを提供しています。また、英国の小売店や電子商取引プラットフォームを通じて、「Les100Ciels」というブランドで自社ブランドのアパレル製品を販売しています。
NCIは、さまざまな環境に優しい慣行を実施することにより、環境への影響を最小限に抑えることに専念しています。環境への影響を減らす取り組みの一環として、リサイクル、クリーンプロセス、トレーサブルな調達を優先しています。さらに、NCIは、環境に配慮した方法で顧客のニーズを満たすことを目指して、衣料品の製造プロセス全体で持続可能なソリューションを積極的に模索しています。
為替レート情報
この発表には、読者の便宜を図るために、特定の香港ドル金額を指定レートで米ドル(「US$」)に換算したものが含まれています。特に明記されていない限り、香港ドルから米ドルへの換算はすべて、7.8083香港ドルから1.00米ドルのレートで行われました。これは、連邦準備制度理事会のH.10統計発表に記載されている2024年6月28日の為替レートです。当社は、提示された香港ドルまたは米ドルの金額が、場合によっては、特定のレートで、あるいはまったく米ドルまたは香港ドルに換算される可能性があることを表明しません。
セーフハーバーステートメント
この発表の特定の記述は将来の見通しに関する記述です。これらの将来の見通しに関する記述には、既知および未知のリスクと不確実性が含まれ、財務状況、経営成績、事業戦略、および財務ニーズに影響を与える可能性があると当社が考える将来の出来事に関する当社の現在の期待と予測に基づいています。投資家は、これらの将来の見通しに関する記述を、「かもしれない」、「するだろう」、「期待する」、「期待」、「目的」、「見積もり」、「意図」、「計画」、「信じる」、「ありそうである」、「可能性がある」、「続く」などの言葉やフレーズで見分けることができます。当社は、法律で義務付けられている場合を除き、その後の出来事や状況、または期待の変化を反映するために、将来の見通しに関する記述を公に更新または改訂する義務を負いません。当社は、これらの将来の見通しに関する記述で表明された期待は妥当であると考えていますが、そのような期待が正しいことを保証することはできません。当社は、実際の結果が予想される結果と大きく異なる可能性があることを投資家に警告し、将来の結果に影響を与える可能性のある他の要因を、当社の登録届出書やその他のSECへの提出書類で確認するよう投資家に奨励しています。これらの書類は、www.sec.govで確認できます。
お問い合わせ:
ネオコンセプト・インターナショナル・グループ・ホールディングスリミテッド投資家向け広報連絡先:
10/F、シービューセンター
139-141番地ホイバンロード
クントン、九龍、香港
(+852) 2798-8639
電子メール:ir@neo-ig.com
ネオコンセプト・インターナショナル・グループ・ホールディングス・リミテッド 未監査の要約連結貸借対照表 |
|
| | 12月31日、 | | | 6月30日現在、 | |
| | 2023 | | | 2024 | | | 2024 | |
| | HKD | | | HKD | | | US$ | |
資産 | | | | | | | | | |
現在の資産 | | | | | | | | | |
現金および現金同等物 | | | 5,849,306 | | | | 4,673,976 | | | | 598,591 | |
売掛金、純額 | | | 32,343,592 | | | | 21,542,687 | | | | 2,758,947 | |
その他の流動資産、純額 | | | 20,225,722です | | | | 53,316,186 | | | | 6,828,143 | |
在庫、純額 | | | 5,320,199 | | | | 5,462,892 | | | | 699,626 | |
現在の総資産 | | | 63,738,819 | | | | 84,995,741 | | | | 10,885,307 | |
| | | | | | | | | | | | |
その他の資産 | | | | | | | | | | | | |
資産と設備、純額 | | | 1,297,682 | | | | 2,690,729 | | | | 344,599 | |
使用権資産、純額 | | | 23,884,854 | | | | 24,513,952 | | | | 3,139,474です | |
無形資産、純額 | | | — | | | | 15,391,236 | | | | 1,971,138 | |
その他の非流動資産、純額 | | | 1,695,473 | | | | 2,406,626 | | | | 308,214 | |
税控除可能 | | | — | | | | 1,704,657 | | | | 218,313 | |
非流動資産の合計 | | | 26,878,009 | | | | 46,707,200 | | | | 5,981,738 | |
総資産 | | | 90,616,828 | | | | 131,702,941 | | | | 16,867,045 | |
| | | | | | | | | | | | |
負債と株主赤字 | | | | | | | | | | | | |
現在の負債 | | | | | | | | | | | | |
銀行借入金 | | | 30,753,400% | | | | 51,047,760 | | | | 6,537,628 | |
見越金とその他の買掛金 | | | 3,205,704 | | | | 6,261,628 | | | | 801,919 | |
関係者のおかげで | | | 34,243,244 | | | | 49,087 | | | | 6,287 | |
オペレーティングリース負債 | | | 708,829 | | | | 1,622,876 | | | | 207,840 | |
納税義務があります | | | 916,436 | | | | — | | | | — | |
現在の負債の合計 | | | 69,827,613 | | | | 58,981,351 | | | | 7,553,674 | |
| | | | | | | | | | | | |
非流動負債 | | | | | | | | | | | | |
オペレーティングリース負債 | | | 23,176,025 | | | | 22,891,076 | | | | 2,931,634 | |
非流動負債の合計 | | | 23,176,025 | | | | 22,891,076 | | | | 2,931,634 | |
負債総額 | | | 93,003,638 | | | | 81,872,427 | | | | 10,485,308 | |
| | | | | | | | | | | | |
コミットメントと不測の事態 | | | — | | | | — | | | | — | |
| | | | | | | | | | | | |
株主(赤字)資本 | | | | | | | | | | | | |
普通株式:額面金額0.0000625米ドル、2023年12月31日および2024年6月30日の時点で承認された8億株、2023年12月31日および2024年6月30日の時点でそれぞれ1800万株と20,320,000株の発行済み株式と20,320,000株が発行済みです | | | 8,775 | | | | 9,906 | | | | 1,269 | |
その他の払込資本 | | | 55,091,225 | | | | 105,776,106 | | | | 13,546,624 | |
その他の包括利益の累計 | | | 844,791 | | | | 963,495 | | | | 123,394 | |
累積損失 | | | (58,331,601) | | | | (56,918,993) | | | | (7,289,550) | |
株主(赤字)資本の総額 | | | (2,386,810) | | | | 49,830,514 | | | | 6,381,737 | |
負債総額と株主(赤字)資本 | | | 90,616,828 | | | | 131,702,941 | | | | 16,867,045 | |
ネオコンセプト・インターナショナル・グループ・ホールディングス・リミテッド 未監査の要約損益計算書と包括利益計算書 |
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| | 6月30日に終了した6か月間は、 | |
| | 2023 | | | 2024 | | | 2024 | |
| | HKD | | | HKD | | | US$ | |
収入、純額 | | | 77,915,027 | | | | 79,256,623 | | | | 10,150,305 | |
| | | | | | | | | | | | |
収益コスト | | | | | | | | | | | | |
-関連当事者 | | | (22,713,298) | | | | (21,206,685) | | | | (2,715,916) | |
-外部 | | | (43,040,030) | | | | (41,690,622) | | | | (5,339,270) | |
| | | (65,753,328) | | | | (62,897,307) | | | | (8,055,186) | |
総利益 | | | 12,161,699です | | | | 16,359,316です | | | | 2,095,119 | |
| | | | | | | | | | | | |
経費 | | | | | | | | | | | | |
販売とマーケティング | | | (1,232,254) | | | | (2,045,399) | | | | (261,952) | |
一般と行政 | | | (12,618,644) | | | | (13,827,207) | | | | (1,770,834) | |
総経費 | | | (13,850,898) | | | | (15,872,606) | | | | (2,032,786) | |
営業からの(損失)収入 | | | (1,689,199) | | | | 486,710 | | | | 62,333 | |
| | | | | | | | | | | | |
その他の(費用)収入 | | | | | | | | | | | | |
利息収入 | | | 10,038 | | | | 49,895 | | | | 6,390 | |
利息費用 | | | (3,478,595) | | | | (1,460,788) | | | | (187,081) | |
その他の収入 | | | — | | | | 2,361,596 | | | | 302,447 | |
その他の損失、純額 | | | (20,063) | | | | (24,805) | | | | (3,177) | |
その他(費用)と収入の合計、純額 | | | (3,488,620) | | | | 925,898 | | | | 118,579 | |
所得税費用控除前の(損失)収入 | | | (5,177,819) | | | | 1,412,608 | | | | 180,912 | |
所得税費用 | | | — | | | | — | | | | — | |
純利益 (損失) | | | (5,177,819) | | | | 1,412,608 | | | | 180,912 | |
外貨換算調整 | | | (1,230,850) | | | | 118,704 | | | | 15,202 | |
包括利益(損失)収益の合計 | | | (6,408,669) | | | | 1,531,312 | | | | 196,114 | |
普通株式の加重平均数: | | | | | | | | | | | | |
ベーシックと希釈済み | | | 18,000,000 | | | | 18,892,308 | | | | 18,892,308 | |
(損失)1株当たり利益 | | | (0.29) | | | | 0.07 | | | | 0.01 | |