编辑: 梦里红妆 2014-03-22
1 Hong Kong Exchanges and Clearing Limited and The Stock Exchange of Hong Kong Limited take no responsibility for the contents of this announcement, make no representation as to its accuracy or completeness and expressly disclaim any liability whatsoever for any loss howsoever arising from or in reliance upon the whole or any part of the contents of this announcement.

(Incorporated in Hong Kong with limited liability) (Stock Code: 420) INTERIM RESULTS ANNOUNCEMENT FOR THE SIX MONTHS ENDED

30 JUNE

2018 The board of directors of Fountain Set (Holdings) Limited (the Company , the Directors and the Board , respectively) announces that the unaudited condensed consolidated results of the Company and its subsidiaries (collectively, the Group ) for the six months ended

30 June

2018 are as follows: CONDENSED CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME 简明综合损益及其他全面收益表 (Unaudited) (未经审核) Six months ended

30 June 截至6月30日止6个月

2018

2017 Notes 附注 HK$'

000 千港元 HK$'

000 千港元 Revenue 营业额

4 3,760,117 3,212,129 Cost of sales 销售成本 (3,392,098) (2,894,767) Gross profit 毛利 368,019 317,362 Other revenue 其他收入 33,479 20,714 Other gains and losses 其他收益及亏损 12,566 19,561 Distribution and selling expenses 分销及销售费用 (94,602) (75,595) Administrative expenses 行政费用 (219,737) (190,239) Finance costs 融资成本

5 (12,982) (11,193) Share of profit of an associate 应占一间联营公司之盈利

442

845 Profit before income tax expense 除所得税支出前盈利 87,185 81,455 Income tax expense 所得税支出

6 (18,532) (9,872) Profit for the period 是期间盈利

7 68,653 71,583 Profit for the period attributable to: 应占是期间盈利: ? Owners of the Company 本公司拥有人 63,754 68,869 ? Non-controlling interests 非控股权益 4,899 2,714 68,653 71,583 HK cents 港仙 HK cents 港仙 Earnings per share 每股盈利 ? C Basic - 基本

9 5.3 5.7 ? C Diluted - 摊薄

9 5.3 5.7

2 CONDENSED CONSOLIDATED STATEMENT OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME 简明综合损益及其他全面收益表 (Unaudited) (未经审核) Six months ended

30 June 截至6月30日止6个月

2018

2017 Note 附注 HK$'

000 千港元 HK$'

000 千港元 Profit for the period 是期间盈利

7 68,653 71,583 Other comprehensive income, net of tax 其他全面收益 (经扣除税项) Items that may be reclassified 其后可能重新分类至损益 ? subsequently to profit or loss: 之项目: ? Net gain arising on revaluation of 是期间重估可供出售金融 ?? available-for-sale financial assets 资产产生之收益净值 ?? during the period C

149 ? Exchange differences arising on 换算海外业务产生之 ?? translation of foreign operations 汇兑差额 1,985 4,368 ? Reclassification adjustment of translation 注销一间附属公司时汇兑 ?? reserve upon deregistration of 储备之重新分类调整 ??a subsidiary C 1,132 Other comprehensive income 是期间其他全面收益 ? for the period 1,985 5,649 Total comprehensive income 是期间全面收益总值 ? for the period 70,638 77,232 Total comprehensive income for the 应占是期间全面收益总值: ? period attributable to: ? Owners of the Company 本公司拥有人 64,802 72,814 ? Non-controlling interests 非控股权益 5,836 4,418 70,638 77,232

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