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中策資本控股:二零二四年中期報告

CSC HOLDINGS: INTERIM REPORT 2024

HKEX ·  Sep 27, 2024 17:06

Summary by Moomoo AI

中策資本控股有限公司(股份代號:235)公布截至2024年6月30日止六個月的中期報告。期內,集團主要從事投資證券、貿易、放債及證券經紀業務。面對高息環境、地緣政治緊張局勢及中國經濟增長步伐等挑戰,集團收入減少61%至19,888,000港元,擁有人應佔虧損1,926,000港元,每股基本虧損為0.01港仙。投資證券方面,集團透過香港聯交所等市場購入證券,並專注於資本升值能力及股息╱利息收入計算之投資回報。放債業務收入減少至14,662,000港元,但溢利增加至15,025,000港元。證券經紀業務收入增加至5,226,000港元。集團管理層對業務中長期前景持審慎樂觀態度,並將繼續尋找新業務及投資機會。中期報告經審閱委員會及核數師審閱,並無進行任何股份的購買、出售或贖回。
中策資本控股有限公司(股份代號:235)公布截至2024年6月30日止六個月的中期報告。期內,集團主要從事投資證券、貿易、放債及證券經紀業務。面對高息環境、地緣政治緊張局勢及中國經濟增長步伐等挑戰,集團收入減少61%至19,888,000港元,擁有人應佔虧損1,926,000港元,每股基本虧損為0.01港仙。投資證券方面,集團透過香港聯交所等市場購入證券,並專注於資本升值能力及股息╱利息收入計算之投資回報。放債業務收入減少至14,662,000港元,但溢利增加至15,025,000港元。證券經紀業務收入增加至5,226,000港元。集團管理層對業務中長期前景持審慎樂觀態度,並將繼續尋找新業務及投資機會。中期報告經審閱委員會及核數師審閱,並無進行任何股份的購買、出售或贖回。
CSC Holdings Limited (Stock Code: 235) announced its interim report for the six months ended June 30, 2024. During the period, the Group mainly engaged in securities investment, trading, debt issuance, and securities brokerage businesses. Faced with challenges such as a high interest rate environment, geopolitical tensions, and the pace of economic growth in China, the Group's revenue decreased by 61% to HK$ 19,888,000, with a loss attributable to owners of HK$ 1,926,000, and a basic loss per share of 0.01 HK cent. In terms of securities investment, the Group purchased securities through markets such as the Hong Kong Stock Exchange, focusing on capital appreciation potential and investment return calculated from dividends/interest income. Debt issuance business income decreased to HK$ 14,662,000, but profits increased to HK...Show More
CSC Holdings Limited (Stock Code: 235) announced its interim report for the six months ended June 30, 2024. During the period, the Group mainly engaged in securities investment, trading, debt issuance, and securities brokerage businesses. Faced with challenges such as a high interest rate environment, geopolitical tensions, and the pace of economic growth in China, the Group's revenue decreased by 61% to HK$ 19,888,000, with a loss attributable to owners of HK$ 1,926,000, and a basic loss per share of 0.01 HK cent. In terms of securities investment, the Group purchased securities through markets such as the Hong Kong Stock Exchange, focusing on capital appreciation potential and investment return calculated from dividends/interest income. Debt issuance business income decreased to HK$ 14,662,000, but profits increased to HK$ 15,025,000. Securities brokerage business income increased to HK$ 5,226,000. The Group's management holds a cautiously optimistic outlook on the medium to long-term prospects of the business, and will continue to seek new business and investment opportunities. The interim report has been reviewed by the audit committee and auditor, with no purchases, sales, or redemption of any shares conducted.
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