VIRTUALMINDHOLDINGCOMPANYLIMITED 天机控股有限公司 (于开曼群岛注册成立之有限公司) (IncorporatedintheCaymanIslandswithlimitedliability) 股份代号StockCode:1520 INTERIMREPORT中期报告 2022 Summary 概要 Forthesixmonthsended30June2022: •revenueoftheGroupforthereportingperioddecreasedbyapproximately27.6%toapproximatelyHK$23,224,000(2021:HK$32,081,000)asaresultofthespreadofOmicronvirusandthecorrespondingpreventiveandcontrolmeasuresimposedbythegovernments,economicactivitiesinmajoreconomiesandouroperationweredisruptedanddampened; •grossprofitforthesixmonthsended30June2022wasapproximatelyHK$6,199,000(2021:HK$2,423,000),increasedby155.8%.AppareloperationrecordedgrosslossofapproximatelyHK$1,863,000(2021:HK$3,028,000)whilemoneylendingoperationearnedgrossprofitofapproximatelyHK$8,062,000(2021:HK$5,451,000); •thelossfortheperiodattributabletoownersoftheCompanywasapproximatelyHK$40,992,000(2021:HK$20,522,000),increasedbyapproximately99.7%.TheincreaseinthelossfortheperiodattributabletoownersoftheCompanywasprimarilyduetodecreaseinrevenuefromappareloperation,andincreaseinprovisionforexpectedcreditlossonloansandinterestreceivablesandincreaseinadministrativeexpensesrespectively; •theBoardofDirectorsoftheCompany(the“Board”)didnotrecommendthepaymentofanyinterimdividend. 截至二零二二年六月三十日止六个月: •由于Omicron病毒传播以及政府施加的相应预防及防控措施,主要经济体的经济活动及我们的营运受到阻碍及抑制,本集团于报告期的收入减少约27.6%至约23,224,000港元(二零二一年:32,081,000港元); •截至二零二二年六月三十日止六个月的毛利约为6,199,000港元(二零二一年:2,423,000港元),增长155.8%。服饰业务录得毛亏损约1,863,000港元(二零二一年:3,028,000港元),而贷款融资业务录得毛利约8,062,000港元(二零二一年:5,451,000港元); •本公司拥有人应占期间亏损约为40,992,000港元(二零二一年:20,522,000港元),扩大约99.7%。本公司拥有人应占期间亏损扩大主要分别由于服饰业务收入减少、应收贷款及利息的预期信贷亏损拨备增加以及行政开支增加; •本公司董事会(“董事会”)不建议派发任何中期股息。 InterimReport2022中期报告1 UnauditedCondensedConsolidatedStatementofComprehensiveIncome 未经审核简明综合全面收益表 Forthesixmonthsended30June2022截至二零二二年六月三十日止六个月 Forthesixmonthsended30June 截至六月三十日止六个月 2022 2021 二零二二年 二零二一年 Notes HK’000 HK’000 附注 千港元 千港元 Revenue 收入 4 23,224 32,081 Costofsales 销售成本 (17,025) (29,658) Grossprofit 毛利 6,199 2,423 Otherincomeandgains 其他收益及亏损 5 1,267 3,700 Reversalofexpectedcreditloss 贸易应收款项预期 ontradereceivables 信贷亏损拨回 85 297 Provisionforexpectedcreditloss 应收贷款及利息预期 onloansandinterestreceivables 信贷亏损拨备 (9,382) (1,106) Sellinganddistributionexpenses 销售及分销费用 (929) (4,508) Administrativeexpenses 行政开支 (37,838) (20,582) Financecosts 融资成本 (369) (122) Lossbeforeincometax 除所得税前亏损 6 (40,967) (19,898) Incometaxexpense 所得税开支 7 — (624) Lossfortheperiod 期间亏损 (40,967) (20,522) 2VirtualMindHoldingCompanyLimited天机控股有限公司 UnauditedCondensedConsolidatedStatementof ComprehensiveIncome 未经审核简明综合全面收益表 Forthesixmonthsended30June2022截至二零二二年六月三十日止六个月 Forthesixmonthsended30June 截至六月三十日止六个月 Notes 附注 2022 二零二二年 HK’000 千港元 2021 二零二一年 HK’000 千港元 Othercomprehensiveincome,netoftaxattributabletotheownersoftheCompanyItemthatmaybereclassifiedsubsequentlytoprofitorloss:Exchange(loss)/gainontranslationoffinancialstatements offoreignoperations 本公司拥有人应占其他全面收益 (除税后) 可于其后重新分类 至损益的项目:换算海外业务财务 报表的汇兑 (亏损)╱收益 (530) 170 Totalcomprehensiveincomefortheperiod 期间全面收益总额 (41,497) (20,352) Profit/(Loss)fortheperiodattributableto: OwnersoftheCompanyNon-controllinginterests 以下应占期内 收益╱(亏损):本公司拥有人非控股权益 (40,992)25 (20,522)– (40,967) (20,522) Totalcomprehensiveincome 以下应占期内全面 fortheperiodattributableto: 收益总额: OwnersoftheCompany 本公司拥有人 (41,522) (20,352) Non-controllinginterests 非控股权益 25 – (41,497) (20,352) LosspershareattributabletotheownersoftheCompanyBasicanddilutedlosspershare(HKcents) 本公司拥有人应占每股亏损每股基本及摊薄亏损(港仙) 9 (2.30) (1.21) InterimReport2022中期报告3 UnauditedCondensedConsolidatedStatementofFinancialPosition 未经审核简明综合财务状况表 Asat30June2022于二零二二年六月三十日 Notes 附注 Unaudited未经审核Asat 30June2022 于二零二二年六月三十日HK$’000 千港元 Audited经审核Asat 31December2021 于二零二一年十二月三十一日 HK$’000 千港元 ASSETSANDLIABILITIES 资产及负债 Non-currentassets 非流动资产 7,187 8,237 Property,plantandequipment 物业、厂房及设备 10 Right-of-useassets 使用权资产 5,330 5,486 Loansandinterestreceivables 应收贷款及利息 13 1,505 1,803 Goodwill 商誉 34,632 34,632 Intangibleassets 无形资产 800 800 Deferredtaxassets 递延税项资产 562 562 50,016 51,520 CurrentassetsInventoriesTradeandbillreceivablesLoansandinterestreceivablesDeposits,prepaymentsandotherreceivablesTaxrecoverableFinancialassetsatfairvaluethroughprofitorlossCashandbankbalances 流动资产存货贸易应收款项及应收票据应收贷款及利息按金、预付款及其他应收款项可收回税项以公平值计量且变动计入当期损益的财务资产现金及银行结存 11121314 6,178 6,016 19,712 27,486 115,583 112,864 6,669 5,534 – 383 15,342 15,681 17,879 15,348 181,363 183,312 CurrentliabilitiesTradeandbillpayablesAccruals,otherpayablesandreceiptsinadvanceContractliabilitiesOtherborrowingsLeaseliabilitiesProvisionfortax 流动负债贸易应付款项及 应付票据 预提费用、其他应付款项及预收款项合约负债其他借款租赁负债税项拨备 151617 17,422 19,124 9,242 10,968 – 529 1,479 4,057 2,741 2,965 210 – 31,094 37,643 Netcurrentassets 流动资产净值 150,269 145,669 Totalassetslesscurrentliabilities 总资产减流动负债 200,285 197,189 4VirtualMindHoldingCompanyLimited天机控股有限公司 UnauditedCondensedConsolidatedStatementof FinancialPosition 未经审核简明综合财务状况表 Asat30June2022于二零二二年六月三十日 Unaudited 未经审核 Audited 经审核 Asat Asat 30June 31December 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 N