2022 中期报告 InterimReport InterimReport 2022中期报告 Theboard(the“Board”)ofdirectors(the“Directors”)ofBinhaiInvestmentCompanyLimited(the“Company”andtogetherwithitssubsidiaries,the“Group”)ispleasedtoannouncetheunauditedconsolidatedresultsoftheGroupforthesixmonthsended30June2022(the“Period”)togetherwiththecomparativeunauditedfiguresforthecorrespondingperiodin2021.TheunauditedcondensedconsolidatedinterimfinancialstatementshavebeenreviewedbytheauditcommitteeoftheCompany. FinancialHighlights 滨海投资有限公司(“本公司”,连同其附属公司统称“本集团”)董事会(“董事会”)董事(“董事”)欣然公布本集团截至二零二二年六月三十日止六个月(“期内”)之未经审核合并业绩,连同二零二一年同期之未经审核比较数字。本公司审核委员会已审阅未经审核简明合并中期财务报表。 财务摘要 Unaudited 未经审核 Unaudited 未经审核 Sixmonths Sixmonths Ended Ended 30June 30June Changes 2022 截至二零二二年六月三十日止六个月 2021 截至二零二一年六月三十日止六个月 Percentage 变幅百分比 HK$’000 千港元 HK$’000 千港元 Revenue 收入 3,046,876 2,316,905 32% Grossprofit 毛利 433,733 453,067 -4% ProfitforthePeriod 期内利润 263,521 238,114 11% Basicearningspershare 期内本公司拥有人应占 attributabletoowners 每股基本收益 oftheCompanyduringthePeriod 19.09cents仙 17.09cents仙 12% Unaudited 未经审核 Audited 经审核 Asat Asat 30June 31December Changes 2022 于二零二二年六月三十日 2021 于二零二一年十二月三十一日 Percentage 变幅百分比 HK$’000 千港元 HK$’000 千港元 Totalassets 总资产 7,879,888 8,179,625 -4% Totalequity 总权益 2,295,219 2,322,787 -1% Totalliabilities 总负债 5,584,669 5,856,838 -5% InterimCondensedConsolidatedStatementofProfitorLoss Forthesixmonthsended30June2022 简明合并中期损益表 截至二零二二年六月三十日止六个月 Notes 附注 Unaudited未经审核 Sixmonthsended30June 截至六月三十日止六个月 20222021 二零二二年二零二一年 HK$’000HK$’000 千港元千港元 Revenuefromcontractswith 来自与客户合约的收入 customers 6 3,046,876 2,316,905 Costofsalesandservices 销售及服务成本 9 (2,613,143) (1,863,838) Grossprofit 毛利 433,733 453,067 Otherincome 其他收入 7 21,377 13,366 Administrativeexpenses 行政开支 9 (141,763) (131,859) Netimpairmentreversalon 金融及合约资产的减值 financialandcontractassets 转回净额 32,186 7,306 Other(losses)/gains—net 其他(亏损)╱利得净额 8 (27,609) 11,883 Operatingprofit 经营利润 317,924 353,763 Financeincome 融资收益 10 5,652 1,167 Financecosts 融资成本 10 (49,209) (58,303) Financecosts—net 融资成本净额 10 (43,557) (57,136) Shareofnetprofitofanassociate 应占联营公司及合营企 andjointventuresaccountedfor 业的纯利(按权益法 usingtheequitymethod 入账) 3,163 4,827 Profitbeforeincometax 除所得税前利润 277,530 301,454 Incometaxexpense 所得税费用 11 (14,009) (63,340) ProfitforthePeriod 期内利润 263,521 238,114 InterimCondensedConsolidatedStatementofProfitorLoss(Continued) Forthesixmonthsended30June2022 简明合并中期损益表(续) 截至二零二二年六月三十日止六个月 Notes 附注 Unaudited未经审核 Sixmonthsended30June 截至六月三十日止六个月 20222021 二零二二年二零二一年 HK$’000HK$’000 千港元千港元 ProfitforthePeriodattributable以下人士应占期内 to: 利润: —OwnersoftheCompany —本公司拥有人 258,128 231,116 —Non-controllinginterests —非控制性权益 5,393 6,998 263,521 238,114 HK$cents HK$cents 港仙 港仙 Earningspershareattributable本公司拥有人应占每股 toownersoftheCompany: 收益: 13 —Basicearningspershare —每股基本收益 19.09 17.09 —Dilutedearningspershare —每股稀释收益 19.03 17.09 InterimCondensedConsolidatedStatementofComprehensiveIncome Forthesixmonthsended30June2022 简明合并中期全面收益表 截至二零二二年六月三十日止六个月 Unaudited未经审核Sixmonthsended30June截至六月三十日止六个月 20222021二零二二年二零二一年HK$’000HK$’000千港元千港元 ProfitforthePeriod期内利润Othercomprehensive(loss)/其他综合(亏损)╱收益 income Itemsthatwillnotbereclassifiedto将不会重新分类至损益的 profitorloss项目 —Exchangedifferenceson—本公司财务报表折算 translationoffinancial差额statementsoftheCompany Itemsthatmaybereclassifiedto可能会重新分类至损益的 profitorloss项目 —Exchangedifferenceson—换算境外业务的汇兑 translationofforeign差额operations Totalcomprehensiveincomefor期内总综合收益 thePeriod Totalcomprehensiveincomefor以下人士应占期内总综合 thePeriodisattributableto:收益: —OwnersoftheCompany—本公司拥有人—Non-controllinginterests—非控制性权益 263,521 238,114 (20,092) 6,654 (89,315) 21,681 (109,407) 28,335 154,114 266,449 152,225 258,752 1,889 7,697 154,114 266,449 InterimCondensedConsolidatedStatementofFinancialPosition Asat30June2022 简明合并中期财务状况表 于二零二二年六月三十日 Notes 附注 UnauditedAudited未经审核经审核AsatAsat30June31December20222021于二零二二年于二零二一年 六月三十日十二月三十一日 HK$’000HK$’000 千港元千港元 ASSETS 资产 Non-currentAssets 非流动资产 Property,plantandequipment 不动产、厂房及设备 14 5,809,114 5,893,191 Right-of-useassets 使用权资产 212,625 196,584 Investmentproperties 投资物业 6,644 7,073 Intangibleassets 无形资产 47,725 47,607 Investmentsaccountedforusing 按权益法入账的投资 theequitymethod 85,019 85,646 Prepayments 预付款项 37,557 29,470 Long-termreceivables 长期应收款 15 27,793 29,999 Deferredincometaxassets 递延所得税资产 20 67,877 46,550 Restrictedcash 受限制资金 147,625 142,841 6,441,979 6,478,961 CurrentAssets 流动资产 Inventories 存货 135,644 144,313 Tradeandotherreceivables 应收账款及其他应收款 15 274,318 327,760 Notesreceivable 应收票据 12,906 17,529 Contractassets 合约资产 39,466 37,280 Prepayments 预付款项 185,095 419,362 Restrictedcash 受限制资金 — 12,293 Cashandcashequivalents 现金及现金等价物 790,480 742,181 1,437,909 1,700,664 TotalAssets 总资产 7,879,888 8,179,625 InterimCondensedConsolidatedStatementofFinancialPosition(Continued) Asat30June2022 简明合并中期财务状况表(续) 于二零二二年六月三十日 Notes 附注 UnauditedAudited未经审核经审核AsatAsat30June31December20222021于二零二二年于二零二一年 六月三十日十二月三十一日 HK$’000HK$’000 千港元千港元 EQUITYANDLIABILITIESEquitySharecapital —Ordinaryshares—Redeemablepreferencesshares Share