1、Interim Financial Report中期財務報告2025(Incorporated in Hong Kong with limited liability)(於香港註冊成立之有限公司)Room 4013B,40th FloorOffce Tower,Convention Plaza1 Harbour Road,WanchaiHong Kong香港灣仔港灣道1號會展廣場辦公大樓40樓4013B室(Incorporated in Hong Kong with limited liability)(於香港註冊成立之有限公司)Page頁次Financial Highlights財務摘要2C
2、orporate Information企業資料4Chairmans Statement主席報告6Corporate Governance&Other Information企業管治及其他資料34Condensed Consolidated Statement of Profit or Loss簡明綜合損益表39Condensed Consolidated Statement of Comprehensive Income簡明綜合全面收益表41Condensed Consolidated Statement of Financial Position簡明綜合財務狀況表42Condensed C
3、onsolidated Statement of Changes in Equity簡明綜合權益變動報表44Condensed Consolidated Statement of Cash Flows簡明綜合現金流量表45Notes to the Condensed Consolidated Financial Statements簡明綜合財務報表附註46CONTENTS 目錄Silver Grant International Holdings Group Limited 銀建國際控股集團有限公司2FINANCIAL HIGHLIGHTS 財務摘要Six months ended 30 Ju
4、ne截至6月30日止六個月20252024Change變動HK$mHK$m%百萬港元百萬港元百分比 Loss for the Period本公司擁有人應佔期內Attributable to Owners of the Company虧損(298)(307)(2.9%)Net Assets淨資產1,9893,125(36.4%)Total Assets資產總值6,5527,489(12.5%)Equity Attributable to Owners of the Company本公司擁有人應佔股權2,0282,792(27.4%)Cash and Bank Balances現金及銀行結餘 48
5、62(22.6%)Change變動Key Performance and Liquidity Indicators:主要營運表現及財務 狀況指標:%百分比 Basic Loss Per Share (in HK cents)(Note 1)每股基本虧損(以港仙列示)(附註1)(12.92)(13.32)(3.0%)Net Assets Per Share(in HK$)(Note 1)每股資產淨值(以港元列示)(附註1)0.881.21(27.3%)Return on Capital Employed (Note 2)股本回報率(附註2)(14.69%)(10.99%)33.7%Return
6、on Total Assets(Note 3)總資產回報率(附註3)(4.55%)(4.10%)11.0%Gearing Ratio(Note 4)借貸比率(附註4)171.76%125.65%36.7%Adjusted Gearing Ratio(Note 5)經調整借貸比率(附註5)169.42%123.44%37.2%Current Ratio(Note 6)流動比率(附註6)0.6x 0.8x(25.0%)Interest Coverage(Note 7)利息償付比率(附註7)1.0 x 0.3x233.3%Interim Financial Report 2025 二零二五年中期財務