香港交易及结算所有限公司及香港联合交易所有限公司对本公布之内容概不负责,对其准确性或完整性亦不发表任何声明,并明确表示概不就因本公布全部或任何部分内容而产生或因倚赖该等内容而引致之任何损失承担任何责任。
KANTONE HOLDINGS LIMITED
看通集团有限公司
#
(於开曼群岛注册成立之有限公司)
(股份代号:1059)
截至二零一六年十二月三十一日止六个月之中期业绩公布
看通集团有限公司(「本公司」)董事(「董事」)会(「董事会」)欣然公布,本公司及其附属公
司截至二零一六年十二月三十一日止六个月之未经审核业绩。本公布载列本公司截至二零
一六年十二月三十一日止六个月之中期报告(「中期报告」)之全文,乃符合香港联合交易
所有限公司(「联交所」)证券上市规则中有关中期业绩初步公布所附载资料之相关要求。中
期报告之印刷版本将於二零一七年三月底前寄发予本公司股东,并可於其时在联交所网站
www.hkexnews.hk及本公司网站www.kantone.com阅览。
承董事会命
看通集团有限公司
主席
程杨
香港,二零一七年二月二十七日
於本公布日期,本公司之执行董事为程杨先生及廖嘉濂先生;及本公司之独立非执行董事为FrankBleackley先生、何慕娴女士及杨如生先生。
# 仅供识别
KANTONEHOLDINGSLIMITED
Theboardofdirectors(the“Board”)ofKantoneHoldings 看通集团有限公司(「本公司」或「看通」)之
Limited (the“Company” or “Kantone”) announces
theunaudited condensed consolidatedresultsof the 董事会(「董 事会」)公布本公司及其附属公司
Companyand itssubsidiaries(the“Group”)forthesix (「本 集团」)截 至二零一六年十二月三十一日
monthsended 31 December2016 (the“Period”) with 止六个月(「回顾期」)之 未经审核简明综合业
comparative unauditedfigures forthe corresponding 绩,连同二零一五年同期(「去年同期」)之未
periodin2015(the“PreviousPeriod”)asfollows: 经审核比较数字如下:
CondensedConsolidated 简明综合损益及其他全面收益表
StatementofProfitorLossand
OtherComprehensiveIncome
Forthesixmonthsended31December2016 截至二零一六年十二月三十一日止六个月
Sixmonthsended
31December
截至十二月三十一日
止六个月 2015
2016
二零一六年 二零一五年
Notes HK$’000 HK$’000
附注 千港元 千港元
(Unaudited) (Unaudited)
(未经审核) (未经审核)
Revenue 收益 2 70,824 1,056,105
Costofsales (36,971) (975,883)
销售成本
Grossprofit 毛利总额 33,853 80,222
Otherincome,gainsandlosses 1,894 9,012
Gainondisposalofsubsidiaries 其他收入、收益及亏损 3 2,167 ―
Distributioncosts 出售附属公司之收益 (12,695) (8,929)
Generalandadministrativeexpenses 分销成本 (27,241) (52,805)
Impairmentlossesrecognisedfor 一般及行政支出
developmentcostsforsystemsand 就系统及网络开发成本
networks 所确认之 (14,650) ―
Researchanddevelopmentcosts 减值亏损
expensed 研究及开发成本 (1,001) (1,330)
Financecosts 支出 (88) (202)
财务成本
(Loss)/profitbeforetaxation 除税前(亏损)�u溢利 (17,761) 25,968
Taxation 5 ― ―
税项
(Loss)/profitfortheperiod 期内(亏损)�u溢利 (17,761) 25,968
Othercomprehensiveexpense: 其他全面支出:
Itemsthatwillnotbereclassifiedto
profitorloss: 将不会划分至损益之
Remeasurementofdefined 项目:
benefitspensionplans 重算定额福利退休 (8,275) (19,999)
Itemsthatmaybereclassified 计划
subsequentlytoprofitorloss: 其後可划分至损益之
Exchangedifferencearisingon 项目:
translationofforeignoperations 因国外业务换算所产生 1,948 1,763
之汇兑差额
Othercomprehensiveexpenseforthe 期内其他全面 (18,236)
period (6,327)
支出
Totalcomprehensive(expense)/ 期内全面(支出)�u收益 (24,088) 7,732
incomefortheperiod
总额
2016/2017INTERIMREPORT 2016/17中期报告 1
KANTONEHOLDINGSLIMITED
CondensedConsolidated 简明综合损益及其他全面收益表(续)
StatementofProfitorLossand
OtherComprehensiveIncome
(continued)
Forthesixmonthsended31December2016 截至二零一六年十二月三十一日止六个月
Sixmonthsended
31December
截至十二月三十一日
止六个月 2015
2016
Notes 二零一六年 二零一五年
HK$’000 HK$’000
附注 千港元 千港元
(Unaudited) (Unaudited)
(未经审核) (未经审核)
(Loss)/profitfortheperiodattributable 应占期内(亏损)�u
to:
OwnersoftheCompany 溢利: (17,761) 28,133
Non-controllinginterests 本公司拥有人 ― (2,165)
非控股股东权益
(17,761) 25,968
Totalcomprehensive(expense)/ 应占期内全面(支出)�u收益
incomefortheperiodattributableto:
OwnersoftheCompany 总额: (24,088) 10,784
Non-controllinginterests 本公司拥有人 ― (3,052)
非控股股东权益
(24,088) 7,732
(Loss)/earningspershare― 每股(亏损)�u盈利― HK2.85cents港仙
Basicanddiluted 6 HK(1.80)cents港仙
基本及经摊薄
2 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
CondensedConsolidated 简明综合财务状况表
StatementofFinancialPosition
At31December2016 於二零一六年十二月三十一日
Asat Asat
31December 30June
2016 2016
於 於
二零一六年 二零一六年
十二月 六月
三十一日 三十日
Notes HK$’000 HK$’000
附注 千港元 千港元
(Unaudited) (Audited)
(未经审核) (经审核)
Non-currentassets 非流动资产
Property,plantandequipment 物业、厂房及设备 8 29,885 33,406
Developmentcostsforsystemsand 系统及网络开发
networks 成本 ― 21,694
29,885 55,100
Currentassets 流动资产
Inventories 存货 9 3,397,908 3,397,308
Tradeandotherreceivables 应收贸易及其他账款 10 26,379 34,282
Cashandcashequivalents 现金及现金等额 64,551 74,377
3,488,838 3,505,967
Currentliabilities 流动负债
Tradeandotherpayables 应付贸易及其他账款 11 38,720 61,040
Warrantyprovision 保养拨备 992 1,055
Bankborrowings―amountduewithin 银行借贷―於一年内
oneyear 到期 3,457 3,677
43,169 65,772
Netcurrentassets 流动资产净值 3,445,669 3,440,195
Totalassetslesscurrentliabilities 资产总值减流动负债 3,475,554 3,495,295
2016/2017INTERIMREPORT 2016/17中期报告 3
KANTONEHOLDINGSLIMITED
CondensedConsolidated 简明综合财务状况表(续)
StatementofFinancialPosition
(continued)
At31December2016 於二零一六年十二月三十一日
Asat Asat
31December 30June
2016 2016
於 於
二零一六年 二零一六年
十二月 六月
三十一日 三十日
Notes HK$’000 HK$’000
附注 千港元 千港元
(Unaudited) (Audited)
(未经审核) (经审核)
Non-currentliabilities 非流动负债
Bankborrowings―amountdueafter 银行借贷―於一年後
oneyear 到期 1,729 3,677
Retirementbenefitobligations 退休福利承担 64,116 57,821
65,845 61,498
Netassets 资产净值 3,409,709 3,433,797
Capitalandreserves 股本及储备
Sharecapital 股本 986,538 986,538
Reserves 储备 2,423,171 2,447,259
Equityattributabletoownersofthe 本公司拥有人应占
Company 权益 3,409,709 3,433,797
4 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
CondensedConsolidated 简明综合股本权益变动表
StatementofChangesinEquity
Forthesixmonthsended31December2016 截至二零一六年十二月三十一日止六个月
AttributabletoownersoftheCompany
本公司拥有人应占
Non-
Share Share Translation Retained controlling Total
capital premium reserve profits Total interests equity
非控股 股本
股本 股份溢价 汇兑储备 保留溢利 合计 股东权益 权益总额
HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000 HK$’000
千港元 千港元 千港元 千港元 千港元 千港元 千港元
At1July2016 於二零一六年七月一日
(Audited) (经审核) 986,538 795,357 8,020 1,643,882 3,433,797 ― 3,433,797
Lossfortheperiod 期内亏损 ― ― ― (17,761) (17,761) ― (17,761)
Remeasurementofdefined 重算定额福利退休
benefitspensionplans 计划 ― ― ― (8,275) (8,275) ― (8,275)
Exchangedifferencearising 因国外业务换算所产生之
ontranslationofforeign 汇兑差额
operations ― ― 1,948 ― 1,948 ― 1,948
Totalcomprehensive 期内全面(支出)�u收益
(expense)/incomefor 总额
theperiod ― ― 1,948 (26,036) (24,088) ― (24,088)
At31December2016 於二零一六年十二月三十一日
(Unaudited) (未经审核) 986,538 795,357 9,968 1,617,846 3,409,709 ― 3,409,709
At1July2015 於二零一五年七月一日
(Audited) (经审核) 986,538 795,357 5,402 1,651,691 3,438,988 25,965 3,464,953
Profitfortheperiod 期内溢利 ― ― ― 28,133 28,133 (2,165) 25,968
Remeasurementofdefined 重算定额福利退休
benefitspensionplans 计划 ― ― ― (19,999) (19,999) ― (19,999)
Exchangedifferencearising 因国外业务换算所产生之
ontranslationofforeign 汇兑差额
operations ― ― 2,650 ― 2,650 (887) 1,763
Totalcomprehensive 期内全面收益�u(支出)
income/(expense)for 总额
theperiod ― ― 2,650 8,134 10,784 (3,052) 7,732
At31December2015 於二零一五年十二月三十一日
(Unaudited) (未经审核) 986,538 795,357 8,052 1,659,825 3,449,772 22,913 3,472,685
2016/2017INTERIMREPORT 2016/17中期报告 5
KANTONEHOLDINGSLIMITED
CondensedConsolidated 简明综合现金流动表
StatementofCashFlows
Forthesixmonthsended31December2016 截至二零一六年十二月三十一日止六个月
Sixmonthsended
31December
截至十二月三十一日止
六个月
2016 2015
二零一六年 二零一五年
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Unaudited)
(未经审核) (未经审核)
Operatingactivities 经营业务
Cashusedinoperations 营运所用现金 (3,611) (546,444)
Taxpaid 已付税项 ― ―
Netcashusedinoperatingactivities 经营业务所用之现金净额 (3,611) (546,444)
Investingactivities 投资活动
Paymentforthepurchaseofproperty, 支付购买物业、厂房
plantandequipment 及设备 (3,032) (4,914)
Othercashflows(usedin)/arisingfrom 投资活动(所用)�u产生之其他
investingactivities 现金流 (790) 435,506
Netcash(usedin)/generatedfrom 投资活动(所用)�u所得之现金
investingactivities 净额 (3,822) 430,592
Financingactivities 融资活动
Advancefromadirector 一名董事垫款 2,000 ―
Othercashflowsusedinfinancing 融资活动所用之其他
activities 现金流 (2,256) (2,866)
Netcashusedinfinancingactivities 融资活动所用之现金净额 (256) (2,866)
Netdecreaseincashandcash 现金及现金等额之减少
equivalents 净额 (7,689) (118,718)
Cashandcashequivalentsatbeginning 期初现金及现金
oftheperiod 等额 74,377 196,407
Effectofforeignexchangeratechanges 汇率变动之影响 (2,137) (2,355)
Cashandcashequivalentsatendof 期末现金及现金
theperiod 等额 64,551 75,334
Representedby: 包括:
Deposits,bankbalancesandcash 存款、银行结余及现金 64,551 75,334
6 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
NotestotheCondensed 简明综合财务报表附注
ConsolidatedFinancial
Statements
Forthesixmonthsended31December2016 截至二零一六年十二月三十一日止六个月
1. Basisofpreparationandaccountingpolicies 1. 编制基准及会计政策
The unaudited condensed consolidated fin
ancial 看通集团有限公司(「本公司」)及其附属公司
statementsofKantoneHoldingsLimited(the“Company”) (统称「本集团」)之未经审核简明综合财务
anditssubsidiaries(collectivelythe“Group”)havebeen 报表乃根据香港会计师公 会(「香 港会计师公
preparedin accordancewiththeHongKongAccounting 会 」)颁 布之香港会计准则第34号「中 期财务
Standard 34 “Interim FinancialReporting”issuedby 报告」之规定编制。此外,未经审核简明综合
theHongKongInstituteofCertifiedPublicAccountants 财务报表亦载入按香港联合交易所有限公司
(the“HKICPA”).Inaddition, theunauditedcondensed 证券上市规则所规定之适用披露资料。
consolidated fin
ancial statements include applicable
disclosuresrequiredbytheRulesGoverningtheListingof
SecuritiesonTheStockExchangeofHongKongLimited.
The unaudited condensed consolidated fin
ancial 未经审核简明综合财务报表乃根据历史成本
statementshavebeenpreparedonthe historicalcost 基准编制。
basis.
Theaccounting policiesadopted areconsistentwith 所采纳之会计政策与编制本集团截至二零
thosefollowedinthepreparationoftheannualfinancial 一六年六月三十日止年度之年度财务报表所
statementsofthe Groupfortheyear ended30 June 遵循者一致,惟本集团首次应用由香港会计
2016exceptthattheGrouphasappliedforthefirsttime, 师公会颁布之香港财务报告准则(「香港财务
certainamendmentstoHongKong FinancialReporting 报告准则」)若干修订本除外,该等修订本於
Standards(“HKFRS”)issued bythe HKICPA thatare 本期间生效。
effectiveforthecurrentperiod.
The HKICPAhasissuedanumberofamendmentsto 香港会计师公会已颁布多项於本集团目前会
HKFRSsthatarefirsteffectiveforthecurrentaccounting 计期间首次生效之香港财务报告准则修订
periodoftheGroup.Ofthese,thefollowingamendments 本。其中,以下修订本与本集团有关:
arerelevanttotheGroup:
AnnualImprovementstoHKFRSs2012-2014Cycle 二零一二年至二零一四年周期之年度
改进
AmendmentstoHKAS1,Presentation offinancial 香港会计准则第1号之修订本,呈列财
statements:Disclosureinitiative 务报表:披露计划
Noneof theseamendments havehadamaterialeffect 概无该等修订本对本集团业绩及财务状况於
onhowthe Group’sresultsandfinancial position for 目前或过往期间编制或呈列之方式有重大影
thecurrentor prior periods have been preparedor 响。本集团并无应用任何於目前会计期间尚
presented.TheGrouphasnotappliedanynewstandard 未生效之任何新订准则或诠释。
orinterpretationthatisnotyeteffectiveforthecurrent
accountingperiod.
2016/2017INTERIMREPORT 2016/17中期报告 7
KANTONEHOLDINGSLIMITED
2. REVENUEandsegmentinformation 2. 收益及分类资料
(a) Revenue (a) 收益
Revenue represents the amounts receivedand 收益指期内本集团向外界顾客出售产
receivableforgoodssoldandservicesprovidedby 品及提供服务之已收及应收账款、已
theGrouptoexternalcustomers,licensingfeesand 收及应收特许权费用及租赁收入。
leasingincome receivedandreceivableduring the
period.
TherevenueoftheGroupcomprisesthefollowing: 本集团之收益包括下列各项:
Sixmonthsended
31December
截至十二月三十一日止六个月
2016 2015
二零一六年 二零一五年
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Unaudited)
(未经审核) (未经审核)
Salesofsystemsandrelatedproducts 销售系统及相关产品 46.569 392,540
Renderingofservices 提供服务 13,155 15,967
Leasingofsystemsproducts 租赁系统产品 11,100 13,217
Salesofculturalproducts 销售文化产品 ― 522,709
Licensingfees 特许权费 ― 111,672
70,824 1,056,105
8 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
2. REVENUEandsegmentinformation(continued) 2. 收益及分类资料(续)
(b) Segmentinformation (b) 分类资料
In
fo
rm
ation regarding the Group’s reportable 於回顾期内,本集团就资源分配及分
segmentsforthepurposeofresourcesallocation 类表现评估之可报告分类资料呈报如
and performance assessmentfortheperiod is 下:
reportedbelow:
Systems Leasingof Saleof
salesand systems cultural
licensing products products Consolidated
系统销售 租赁系统 销售文化
及特许权 产品 产品 综合
HK$’000 HK$’000 HK$’000 HK$’000
千港元 千港元 千港元 千港元
(Unaudited) (Unaudited) (Unaudited) (Unaudited)
(未经审核) (未经审核) (未经审核) (未经审核)
Sixmonthsended 截至二零一六年十二月
31December2016 三十一日止六个月
REVENUE 收益
Externalandtotalrevenue 对外销售及总收益 59,724 11,100 ― 70,824
RESULTS 业绩
Segmentresult 分类业绩 (20,503) 1,921 (176) (18,758)
Interestincome 利息收入 75
Financecosts 财务成本 (88)
Unallocatedexpenses,net 未分配开支,净额 (1,157)
Gainondisposalof 出售附属公司之
subsidiaries 收益 2,167
Lossbeforetaxation 除税前亏损 (17,761)
Sixmonthsended 截至二零一五年十二月
31December2015 三十一日止六个月
REVENUE 收益
Externalandtotalrevenue 对外销售及总收益 520,179 13,217 522,709 1,056,105
RESULTS 业绩
Segmentresult 分类业绩 (53,993) 1,831 79,883 27,721
Interestincome 利息收入 2,996
Financecosts 财务成本 (202)
Unallocatedexpenses,net 未分配开支,净额 (4,547)
Profitbeforetaxation 除税前溢利 25,968
Noassetsandliabilitiesareincludedinsegment 由於本公司执行董事未有就资产及负
reportingsastheyarenotregularlyreviewedbythe 债作出定期审阅,故未有将其纳入於
executivedirectorsoftheCompany. 分类报告内。
2016/2017INTERIMREPORT 2016/17中期报告 9
KANTONEHOLDINGSLIMITED
3. GainonDisposalofsubsidiaries 3. 出售附属公司之收益
On30August 2016,the Groupdisposedofitsentire 於二零一六年八月三十日,本集团出售其於
interestinVisionKingdomLimited(“VisionKingdom”)and VisionKingdomLimited(「VisionKingdom」)
itssubsidiary,Smart(MacaoCommercialOffshore)Limited 及其附属公司佳盛(澳门离岸商业服务)有限
(“Smart”)toanindependentthirdpartyforaconsideration 公司(「佳盛」)之全部股权予一名独立第三
ofHK$3,000,000fullysatisfiedbycash.Theconsideration 方,代价为3,000,000港元,以现金悉数偿
wasreceivedduringtheyearended30June2016andhas 付。该代价已於截至二零一六年六月三十日
beenincludedasotherpayablesasat30June2016. 止年度收悉,并计入二零一六年六月三十日
之应付其他款项。
Asat30August2016,thecarryingamountofnetassets 於二零一六年八月三十日,已出售净资产
disposedofamountedtoHK$833,000,mainlyrepresenting 之账面值为833,000港元,主要为按金、银
deposits, bank balancesand cash of HK$863,000, 行结余及现金863,000港元、应收其他款项
other receivablesof HK$58,000andotherpayables 58,000港元及应付其他款项88,000港元。出
ofHK$88,000.Thenet gainondisposalamountedto 售之净收益为2,167,000港元。
HK$2,167,000.
4. Amortisationanddepreciation 4. 摊销及折旧
Sixmonthsended
31December
截至十二月三十一日止六个月
2016 2015
二零一六年 二零一五年
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Unaudited)
(未经审核) (未经审核)
Amortisationondevelopmentcostsforsystems 系统及网络开发成本之摊销
andnetworks,includedincostofsales (计入销售成本内) 7,044 251,283
Depreciationofproperty,plantandequipment, 物业、厂房及设备之折旧
includedingeneralandadministrativeexpenses (计入一般及行政支出内) 4,527 5,646
Totalamortisationanddepreciation 摊销及折旧总额 11,571 256,929
10 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
5. Taxation 5. 税项
HongKongProfitsTax iscalculatedat16.5%(2015: 香港利得税乃以源自香港之估计应课税溢利
16.5%)ontheestimatedassessableprofitsderivedfrom 按16.5%(二零一五年:16.5%)之税率计
HongKong.Therewasno estimatedassessableprofit 算。於两个期间内,就香港利得税并无估计
forHongKongProfitsTaxforbothperiods.Taxationin 应课税溢利。其他司法地区之税项乃按个别
otherjurisdictionsiscalculatedattherateprevailinginthe 司法地区各自采用之税率计算。
respectivejurisdictions.
Theloweffectivetaxrateisattributabletothefactthat 实际税率偏低之原因为本集团大部分溢利既
asubstantial portionoftheGroup’s profitneitherarose 非於香港赚取,亦非源自香港,故毋须缴纳
in,norwasderivedfrom,HongKongandwasaccordingly 香港利得税,而此等溢利已获豁免於澳门所
notsubjecttoHongKongProfitsTaxandsuchprofitwas 得税或毋须於其他司法地区缴纳任何税项。
eitherexemptfromMacauIncomeTaxornotsubjectto
taxationinanyotherjurisdictions.
6. (Loss)/Earningspershare 6. 每股(亏损)�u盈利
Thecalculationofthebasic(loss)/earningspershare is 每股基本(亏损)�u盈利乃根据回顾期内本
basedonthelossfortheperiodattributable toowners 公司拥有人应占亏损17,761,000港元(二零
ofth
e Company ofHK$17,761,000(2015: profit of 一五年:溢利28,133,000港元)及已发行之
HK$28,133,000)andontheweightedaveragenumberof 加权平均股份数目986,538,000股(二零一五
sharesof986,538,000shares(2015:986,538,000shares) 年:986,538,000股)计算。
inissue.
Diluted(loss)/earningspershareforthesixmonthsended 由於两个回顾期内均无潜在可发行普通股,
31 December2016 and 2015werethe sameas the 因此於截至二零一六年及二零一五年十二月
basic(loss)/earningspershareastherewerenopotential 三十一日止六个月期内经摊薄每股(亏损)�u
ordinarysharesinissueduringbothperiods. 盈利与每股基本(亏损)�u盈利相同。
7. Dividend 7. 股息
TheBoardhasresolvednottopayanyinterimdividendfor 董事会决定不派发截至二零一六年十二月
thesixmonthsended31December2016(2015:nil). 三十一日止六个月之中期股息(二零一五年:
无)。
2016/2017INTERIMREPORT 2016/17中期报告 11
KANTONEHOLDINGSLIMITED
8. Property,plantandequipment 8. 物业、厂房及设备
Amount
总额
HK$’000
千港元
Carryingvalueat1July2016(Audited) 於二零一六年七月一日之账面值(经审核) 33,406
Currencyrealignment 汇兑调整 (2,026)
Additions 添置 3,032
Depreciation 折旧 (4,527)
Carryingvalueat31December2016 於二零一六年十二月三十一日之账面值
(Unaudited) (未经审核) 29,885
9. Inventories 9. 存货
Asat Asat
31December 30June
2016 2016
於二零一六年 於二零一六年
十二月 六月
三十一日 三十日
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Audited)
(未经审核) (经审核)
Rawmaterials 原料 6,473 6,578
Workinprogress 在制品 4,227 4,243
Finishedgoods(note) 制成品(附注) 3,387,208 3,386,487
3,397,908 3,397,308
Note: Included in finished goods are cultural 附注:制成品包括可作交易之文化产品
productsof HK$3,379,083,000 (30 June 2016: 3,379,083,000港元(於二零一六年六
HK$3,379,083,000)whicharereadyfortrading. 月三十日:3,379,083,000港元)。
12 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
10. Tradeandotherreceivables 10. 应收贸易及其他账款
Asat Asat
31December 30June
2016 2016
於二零一六年 於二零一六年
十二月 六月
三十一日 三十日
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Audited)
(未经审核) (经审核)
Tradereceivables 应收贸易账款 17,807 23,729
Otherreceivables 应收其他账款 8,572 10,553
26,379 34,282
TheGroupmaintainsawell-definedcreditpolicyregarding 本集团就其贸易客户实行明确之信贷政策。
itstradecustomersdependingontheircreditworthiness, 根据彼等之信用、服务及货品之性质、行内
natureofservicesandproducts,industrypracticeand 规范及市场情况而给予客户介乎30日至180
conditionofthemarketwithcreditperiodrangingfrom30 日之信贷期。应收贸易账款於报告期完结时
daysto180days.Theagedanalysisoftradereceivables 根据发票日期之账龄分析呈列如下:
presentedbasedontheinvoicedateattheendof the
reportingperiodisasfollows:
Asat Asat
31December 30June
2016 2016
於二零一六年 於二零一六年
十二月 六月
三十一日 三十日
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Audited)
(未经审核) (经审核)
0�C60days 0�C60日 11,390 20,669
61�C90days 61�C90日 2,700 156
91�C180days 91�C180日 3,717 2,904
17,807 23,729
2016/2017INTERIMREPORT 2016/17中期报告 13
KANTONEHOLDINGSLIMITED
11. Tradeandotherpayables 11. 应付贸易及其他账款
Asat Asat
31December 30June
2016 2016
於二零一六年 於二零一六年
十二月 六月
三十一日 三十日
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Audited)
(未经审核) (经审核)
Tradepayables 应付贸易账款 9,235 10,975
Otherpayables 应付其他账款 27,485 50,065
Amountduetoadirector 应付一名董事款项 2,000 ―
38,720 61,040
Asat31December2016,theamountduetoadirectoris 於二零一六年十二月三十一日,应付一名董
unsecured,interestfreeandrepayableondemand. 事款项为无抵押、免息及须按要求偿还。
Theagedanalysisoftradepayablespresentedbasedon 应付贸易账款於报告期完结时根据发票日期
theinvoicedateattheendofthereportingperiodisas 之账龄分析呈列如下:
follows:
Asat Asat
31December 30June
2016 2016
於二零一六年 於二零一六年
十二月 六月
三十一日 三十日
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Audited)
(未经审核) (经审核)
0�C60days 0�C60日 8,879 10,975
91-180days 91-180日 356 ―
9,235 10,975
Thecreditperiodfor purchasesofgoodsrangedfrom 购买货品之信贷期介乎30日至60日。应付
30daysto60days.Otherpayablesmainlyrepresented 其他账款主要为预收款项及预提费用。
receiptsinadvanceandaccruals.
14 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
12. Capitalcommitments 12. 资本承担
Asat Asat
31December 30June
2016 2016
於二零一六年 於二零一六年
十二月 六月
三十一日 三十日
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Audited)
(未经审核) (经审核)
Capitalexpenditureinrespectofproperty, 已授权但未订约之有关物业、
plantandequipmentanddevelopment 厂房及设备与系统及
costsforsystemsandnetworks 网络开发成本之资本
authorisedbutnotcontractedfor 开支 ― 9,750
13. Relatedpartytransactions 13. 关连人士交易
(a) Related party tr (a)
ansaction with Champion 与冠军科技集团有限公司(「冠军」)进
TechnologyHoldingsLimited(“Champion”) 行之关连人士交易
Sixmonthsended
31December
截至十二月三十一日止六个月
2016 2015
二零一六年 二零一五年
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Unaudited)
(未经审核) (未经审核)
Natureoftransactions 交易性质
FeespaidbytheGrouptoChampionfor 本集团向冠军按成本基础
theprovisionofofficepremisesand 支付提供办公室及设备
facilities,andmanagementservices,on 及管理服务之费用
costbasis 450 450
Thesetransactionswerecarriedoutafternegotiation 该等交易乃经本集团与冠军磋商後
betweentheGroupandChampion.Thefeespaidfor 进行。就提供办公室及设备及管理
theprovisionofofficepremisesandfacilities,and 服务所支付之费用乃根据与冠军於
managementserviceswereinaccordancewiththe 一九九六年十二月二十日订立之管理
managementagreemententeredintowithChampion 协议而定,该协议於二零一零年一月
dated20December1996,whichwasrenewedon5 五日重续。
January2010.
Asat 31December2016 and 30June2016,a 於二零一六年十二月三十一日及二零
corporateguaranteewasprovidedbyChampionto 一六年六月三十日,冠军就本集团所
abankinrespectofbankingfacilitiesgrantedtothe 获授银行融资向银行作出公司担保。
Group.
2016/2017INTERIMREPORT 2016/17中期报告 15
KANTONEHOLDINGSLIMITED
13. Relatedpartytransactions(continued) 13. 关连人士交易(续)
(b) Keymanagementpersonnelremuneration (b) 主要管理人员薪酬
Keymanagementpersonnelare thosepersons 主要管理人员为担任之职位直接或间
holdingpositionswithauthorityandresponsibility 接拥有规划、指示及控制本集团业务
forplanning,directingandcontrollingtheactivities 之权责之人士,包括本公司董事。主
of theGroup,directlyor indirectly,includingthe 要管理人员薪酬如下:
directors ofth
e Company. Key management
personnelremunerationareasfollows:
Sixmonthsended
31December
截至十二月三十一日止六个月
2016 2015
二零一六年 二零一五年
HK$’000 HK$’000
千港元 千港元
(Unaudited) (Unaudited)
(未经审核) (未经审核)
Salariesandotherbenefits 薪金及其他福利 667 658
Performancerelatedincentivepayments 按工作表现发放之奖金 255 175
Retirementbenefitschemecontributions 退休福利计划供款 9 9
931 842
16 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
Dividend 股息
Asaprecaution againstfurthereconomic andfinancial 为防范经济及金融动荡,及进一步加强集团
turbulence,and to strengthen theGroup’s liquid
ity 的现金流以面对市场持续不明朗,董事会不
positionahead of continuingmarketuncertainties, the 建议派发回顾期之中期股息(二零一五年:
Boarddoesnotrecommendthepaymentofanyinterim 无)。
dividendforthePeriod(2015:nil).
ManagementDiscussionand 管理层讨论及分析
Analysis
FinancialResults 财务业绩
The Group re
ported a revenue for the Period 於回顾期,本集团录得收益约为71,000,000
of approximately HK$71 million compared with 港元,而去年同期约为1,056,000,000港元,
approximatelyHK$1,056 millionof thePreviousPeriod, 相当於减少93%。这主要是由於近年来系统
adecreaseof93 percent.Thiswasmainly attributable 及网络发展投资规模缩减,以及於截至二零
tosignificantdropin salesofsystemsproductsinthe 一六年六月三十日止年度出售开发及采用本
People’sRepublicofChina(the”PRC”)marketasaresult 集团系统及网路设计之非独家权利後,系统
of thescale-downin investments inthe development 产品於中华人民共和国(「中 国」)市场之销售
ofsystemsandnetworksin recentyearsandafterthe 显着下跌。由於管理层认为田黄之价值持续
saleofnon-exclusiverightstoexploitandusethedesign 升值,并着重为这些高价值产品设计出更佳
of theGroup’ssystemsand networks during theyear 营运模式及市场营销平台,故暂缓推行销售
ended30 June 2016. Sales of culturalproducts was 文化产品。
temporarilyheldup dueto themanagement’sviewof
thecontinuedappreciation of valueof Tianhuangand
theiraims to designabetter mode of operationand
marketingplatformforthesehigh-valueproducts.
Both theloss for thePeriodand loss forthe Period 回顾期内亏损及本公司拥有人应占回顾期内
attributabletoownersoftheCompanyareapproximately 亏损均约为18,000,000港元(二零一五年:
HK$18million (2015:the profitand profitattributable 去年同期之溢利及本公司拥有人应占溢利分
toowners of the Companyfor the PreviousPeriod 别约为26,000,000港元及约28,000,000港
wereapproximately HK$26million and HK$28million 元)。亏损主要乃因於回顾期内收益下跌及就
respectively).Thelosswas mainly dueto thedropin 系统及网络开发成本所确认之减值亏损。每
revenueand theimpairmentlossesrecognised forthe 股亏损为1.80港仙(二零一五年:每股盈利
developmentcostsforsystemsandnetworksduringthe 为2.85港仙)。由於产品结构变动,本集团之
Period.LosspershareisHK1.80cents(2015:earnings 毛利率增加至48%,去年同期之比较数字为
pershareof HK2.85cents).Thegrossprofit marginof 8%。
theGroup increased to 48 percent compared with 8
percentofPreviousPeriod,asaresultofthechangein
productmix.
2016/2017INTERIMREPORT 2016/17中期报告 17
KANTONEHOLDINGSLIMITED
ManagementDiscussionand 管理层讨论及分析(续)
Analysis
(continued)
FinancialResults(continued) 财务业绩(续)
Distributioncostsfortheperiodincreasedby42percent 回顾期内分销成本增加42%至约13,000,000
to approximately HK$13 million from approximately 港元,去年同期则约9,000,000港元,主要由
HK$9millionofPreviousPeriod.Thiswasmainlydueto 於回顾期内重新分类欧洲营运之市场营销及
thereclassificationof marketingand sellingexpenses 销售开支。由於业务重整,回顾期内一般及
of European operation duringthePeriod. Generaland 行政开支减少48%至约27,000,000港元,去
administrative expenses for the period decreased 年同期约53,000,000港元。
by 48percent to approximately HK$27 million from
approximatelyHK$53 millionof Previous Periodas a
resultofthebusinessrealignment.
Amortisation anddepreciation costsfor the period 因系统及网络发展规模缩减,回顾期内摊销
significantly droppedto approximately HK$12 million, 及折旧成本大幅下跌至约12,000,000港元,
compared with approximately HK$257 million of 去年同期约257,000,000港元。有鉴於中国销
the Previous Period, due to the scale-down in the 售系统产品营商环境之不确定性,管理层审
development for systemsand networks.In view of 慎处理并於系统及网络开发成本确认减值亏
theuncertainties inbusiness environment of salesof 损约15,000,000港元。
system products inPRC, management exercised a
prudent approachto recognise impairmentlosses of
approximatelyHK$15millionfordevelopmentcostsfor
systemsandnetworks.
FinancecostsforthePerioddecreasedtoapproximately 随着回顾期内贷款减少,回顾期内财务成本
HK$0.1millionfromapproximatelyHK$0.2millionofthe 减少至约100,000港元,去年同期约200,000
PreviousPeriod,inlinewiththedecreaseinborrowings 港元。
duringthePeriod.
ReviewofOperations 业务回顾
Withthechangein management,theGroupcontinued 随着管理层之变化,本集团继续其业务重整
itsstrategicplanofbusinessrealignmentandstructural 及结构转型之战略计划,於文化相关业务中
transformationtobuildasolidmarketbaseintheculture- 建立稳固之市场基础。
relatedbusinesses.
The Group maintained its momentum in European 受惠於医疗保健及紧急服务领域之持续开
market, whichwas supported bycontinued spending 支,本集团於欧洲市场保持动力,然而,由
withinthehealthcareand emergencyservices sectors. 於以美元计价之原组件成本增加,疲软之欧
However, the weakEuro and Sterling Pound have 元及英镑对边际利润造成压力。面对不确定
putpressureon the margins dueto increased costs 之经济状况及具挑战性之业务环境,本集团
of components pricedin US dollars.Facing with the 继续将发展资源集中於为客户提供关键信息
uncertain economicconditionand challengingbusiness 解决方案之特有市场。
environment, th
e Group continued to focus our
development resourceson providing customerswith
criticalmessagingsolutionsinnichemarkets.
18 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
ManagementDiscussionand 管理层讨论及分析(续)
Analysis
(continued)
ReviewofOperations(continued) 业务回顾(续)
During the Period, the management wasreviewing 回顾期内,管理层正在检讨文化产品相关技
themodeof operations and themarketingstrategy in 术及相关服务之运作模式及营销策略,旨在
activitiesintechnologiesandservicesrelatedtocultural 为消费市场之文化产品及收藏品买卖及推广
products, aiming at providing customised solutions 提供定制解决方案及服务。
andservices forthetrading and promotion ofcultural
productsandcollectiblesfortheconsumermarket.
Hence,salesofcultural productswastemporarilyheld 因此,暂缓推行销售文化产品,於二零一六
upandinventoriesofartifactsandTianhuangStonesof 年六月三十日持有艺术品及田黄石存货约
approximately HK$3,379million heldat 30June 2016 3,379,000,000港元,於回顾期末仍然持有。
remainedinstockbytheendofthePeriod.Management 管理层正在设计一个合适商业模式来配合掌
wasdesigningasuitablebusinessmodeltocapturethe 握该等文化产品之升值潜力,从而争取更高
appreciationpotentialoftheseculturalproductsinorder 回报。
toachievehigherreturn.
Facing with th
e uncertain economic condition and 面对不确定之经济状况及具挑战性之业务环
challengingbusinessenvironment,theGroupcontinued 境,本集团继续探讨不同业务重组计划,旨
toexplore differentoptions ofbusiness realignment 在为改善销售及整体回报。
planswith theaim of improvingsalesand theoverall
return.
Outlook 展望
Overview 概览
InvestorscateredforaTrump-ledeconomicboominthe 投资者对特朗普领导之经济繁荣投下信心一
USStockswhichhitrecordhighsamidhopesfortaxcuts, 票,再加上减税、增加基础设施开支,以及
higherinfrastructurespending,andlighterregulationfrom 新政府放宽规管之希冀下,股市创下了历
thenewadministration.TheUSdollarandthereforethe 史新高。美元及港元因此也受惠於通胀上升
HKdollar havealsobenefited fromexpectationsof an 及较高利率之预期。管理层认为,得利於更
inflationspurtandhigherinterestrates.Themanagement 强劲之经济及溢利增长,股票市场将持续畅
believesthattheTrumpequitytradecancontinuethanks 旺,惟财政支援可能遭推延。另一方面,倘
to strongereconomic andprofit growth,thoughfiscal 通胀加速美国利率上升,美元将显弱势。
supportwilllikelybedelayed.Ontheotherhand,theUS
dollarlooksvulnerableifinflationpacesUSraterises.
2016/2017INTERIMREPORT 2016/17中期报告 19
KANTONEHOLDINGSLIMITED
Outlook
(continued) 展望(续)
Overview(continued) 概览(续)
Hopes of fiscal stimulus, inc
lu
ding pledges to cut 对於财政刺激措施(包括减少公司税及大量投
corporate taxes and hugespending on infrastructure, 资於基础设施)之希冀将美国股票市场推高。
ledUSstocks higher. Stocksalso gainedon promises 股票市场也得利於精简营商之繁文缛节之承
totrimbusinessredtape.Yettheemphasisinthefirst 诺。然而,执政後首数周之重点一直放在贸
fewweeks ofthe administration hasbeen ontrade 易保护主义与管束移民之政策上。
protectionismandrestrictingimmigration.
Trump’selectionhelpedpushtheUSdollartoa14-year 特朗普之当选助长推升美元至十四年来之高
high.Themarket hasgenerallyassumed that stronger 峰。市场普遍认为,强劲之增长及通胀将迫
growth andinflation would forcetheFederalReserve 使美联储加速利率之攀升。管理层认为,
toraiseratesfaster.The managementbelievestheFed 美联储将使通胀上升速度超越利率之提升。
willallowinflationto climbfasterthantheyraiserates. 实际负利率可能减损美元之吸引力。当欧洲
Increasinglynegativereal interestratesmay undermine 之货币政策开始标准化,或倘若特朗普之保
theUSdollar’sappeal.TheUSdollarcouldalsosufferas 护主义言论酿成贸易战争,美元也将遭受波
monetarypolicystartstonormaliseinEuropeorifTrump’s 及。因此,现时为本集团推广文化产品(特
protectionistrhetoricleadstotradewars.Therefore,it’s 别是古董)之良好时机,该类产品提供良好
goodtimingfortheGrouptopromoteculturalproducts,in 之另类投资工具,使投资者保持平衡之投资
particularantiques,whichwouldprovideagoodalternative 组合,於被政治驱动之股票与货币投资市场
inve
stment vehicle to allow investors tomaintain a 中,规避不确定性之风险。
balancedinvestment portfolio and hedgeagainst the
uncertaintyofthepresentequityandcurrencyinvestment
marketwhichispolitical-driven.
20 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
Outlook
(continued) 展望(续)
CULTURALARTIFACTSINVESTMENT 文化艺术品投资
Thereare quite anumber of artifactsand Tianhuang 在集团库存中拥有大批的艺术品及田黄石。
Stonesin theGroup’sinventory.TianhuangStones are 田黄石於中国普遍被视作「宝石之王」。此产
generallyconceivedas the“Kingof Stones”inChina. 自福建之宝石自古被认为如黄金般贵重,这
Thisjewelry stonefrom Fujian was said to beworth 早已反映在市场价格上,现时价格比黄金价
its weightin gold, which haslong been reflected in 值更高。管理层对这些贵重资产十分重视,
themarketpricethat thecurrent price ishigherthan 同时集团认为可凭藉这资源的优势,进行对
the value of gold. The Management attaches great 该些艺术品的交易计划。
importanceto these valuableassets,while theGroup
believesthatbyvirtueoftheadvantagesofthisresource,
thetradingplanfortheseartifactscanbeimplemented.
Todetermineitsupwardtrendoverthepastfewyears, 为确定其於过去数年之上涨趋势,因此管理
themanagementhasappointedanindependentvaluerto 层已另委任独立估值师重新评估田黄宝石价
revaluethevalueofTianhuangjewelrystone. 值。
InvestmentplanInAuctionBusiness 拍卖行业投资计划
Auctionbusinessesareexperiencinganewleaseonlife, 拍卖行业正在展开新一页,由於有关拍卖商
thanksto reality TV showsfeaturing auctioneersand 及古董收藏家之电视真人秀所掀起的热潮。
antique hunters.It’s notthat auctionbusinesses have 拍卖行业不但没有从各项领域中消失,大量
everdisappearedfromthelandscape,butthatscoresof 买家正热衷於在拍卖场中竞投二手商品。
buyersarewakinguptotheideaofbuyingsecondhand
merchandiseinanauctionenvironment.
TheGroup has planned to rec
ruit elite and skilled 本集团已计划招募精英及富有技巧之拍卖专
auctioneers to develop auction house projects. In 才发展拍卖行项目。另考虑将转以现场拍卖
addition,theGroupconsidersswitchingtoliveauctionas 方式作为集团提升项目本身市场占有率的方
oneofthewaystoimprovemarketshareoftheproject 式之一。
itself.
2016/2017INTERIMREPORT 2016/17中期报告 21
KANTONEHOLDINGSLIMITED
Outlook
(continued) 展望(续)
StrongRooms&Vaults 保险库及储存库
TheGroupintendstomatchitsbusinessplaninauction 本集团有意通过涉足保险库行业,以配合其
housebyentering intothesecurity industry,with the 於拍卖行之业务发展计划,旨在设计及建造
aimtodesignandbuildhighsecurity,prefabricatedand 高安全度、预制组合及模组化之保险库,
modularstrongroomsforsaleandleasing.Thesehigh 以供出售及租赁之用。该等高质量及安全之
quality, securedstructuresenablethestorageof high- 结构可储存各类贵重物品,使该等物品免受
valueitemsawayfromtheriskoftheft,attackorhostage 盗窃、侵袭或被胁持交出之风险。该等保安
taking. The mainfeatures of these security systems 系统之主要特点为提供於拍卖前後之直接仓
render that clients’ privacy being protected, ensure 储,保障客户隐私、确保拍卖相关交易之成
lowestholdingand transactioncostsin auctionrelated 本减至最低,同时亦可从香港对大部分文物
transactionsbyenablingdirectwarehousingbefore and 之免税政策中获益。
afterauctionwhiletakingtheadvantageofHongKong’s
duty-freepolicyformostartifacts.
Based on th
e above cultural artifacts investment, 综合以上文化艺术品投资、拍卖行业投资计
the in
vestment plan in auction business,and the 划及保险库及储存库项目投资,集团对将来
investmentinthestrongroomsandvault,theGroupis 是充满信心的,因为这三项的投资的成功,
confident inthe futurebecause thesuccess of these 可使集团往後可以以大宗交易模式进行贸易
three investmentscanmaketheGroup’s trade-related 相关交易,同时也可以让大众有更好的渠道
transactionsproceed in bulk trading mode afterwards, 参与,为日後艺术品证券化铺路。
whileitalsoallowsthepublictohaveabetterchannel
tobeinvolved,soastopavethewayforthefutureof
artifactssecuritization.
22 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
Outlook
(continued) 展望(续)
CommunicationSystems 通信系统
TheGroup’swholly-ownedU.K.subsidiary―Multitone 本集团之全资英国附属公司─ Multitone
Electronics isaleading providerof Messaging-System Electronics为医疗保健、老人护理、地方政
Solutionsto Healthcare, AgedCare, LocalGovernment 府及零售市场提供通信系统解决方案之领先
and Retail Markets. Multitone has gained a good 供应商。凭藉Multitone超过85年之经营历
reputationinEuropeoverits85yearshistory.Multitone 史,其在欧洲已赢得良好声誉。Multitone专
isspecialized in the design and manufacturing of 门从事设计及制造通信系统及设备,尤其是
communicationsystemsandequipment,specifically,the 开发及提供综合式主要通信系统解决方案。
developmentanddeliveryofintegratedcriticalmessaging
solutions.
Multitonehastakenasubstantialmarketsharein both Multitone在英国及德国均占有绝大部份的市
UKandGermany.Targetednewmarketstobeexplored 场份额,其将探索之目标新市场包括亚洲及
includeAsia and EasternEurope. Multitonewillwork 东欧。Multitone将於香港与本集团管理层合
incollaborationwiththeGroup’smanagement inHong 作,将其产品引入中国市场。管理层认为,
Kong to introduceits productsinto theChinamarket. 中国对相关通信系统及设备需求甚殷。另一
Management considersthat there isastrongdemand 方面,本集团管理层将与Multitone紧密合
forrelevantcommunication systemsand equipmentin 作,物色中国制造之高质量电子产品,并通
China. On the other hand,the Group’s management 过目前於欧洲之完善分销渠道进行推广。
wouldwork closelywithMultitonein identifying high
qualityelectronicproductsmadeinChinaanddistribute
themthrough thepresentwell-establisheddistribution
channelinEurope.
InternalControl 内部监控
SinceareliableandcostefficientInternalControlsystem 由於可靠且具成本效益之内部监控系统乃成
isfundamentaltothesuccessful operationand day-to- 功营运、业务日常运作及达致其业务目标
dayrunningofabusinessandinachievingitsbusiness 之根基,新管理层已委聘专业内部监控顾
objectives, th
e new management has engaged a 问进行本集团整体营运(不包括Multitone
professionalinternalcontrolconsultanttoconductastudy Electronic PLC之营运)之研究。董事会目前
of theGroup’s overalloperations,excluding those of 正在审阅该顾问之初步报告。
MultitoneElectronicPLC.TheBoardiscurrentlyreviewing
thepreliminaryreportsfromthisconsultant.
2016/2017INTERIMREPORT 2016/17中期报告 23
KANTONEHOLDINGSLIMITED
Outlook
(continued) 展望(续)
InternalControl(continued) 内部监控(续)
Afterfinalisation of thisreport, themanagement will 於该报告定稿後,管理层将采取适当补救措
takeappropriate remedial actions andtorectifyany 施以矫正任何缺失,同时实施新系统,以确
deficiencies while new systemswillbe implemented 保未来之业务以有效及适当之方式进行。管
toensure that futurebusiness will beconducted in 理层有信心,当新的作业程序畅顺运作後,
an efficient and proper manner. Themanagement is 本集团之收益以及溢利将大幅提升。
confidentthat oncethe new systemisin place,the
Group’sbusinessrevenueandthereforetheprofitswill
begreatlyenhanced.
Looking fo
rw
ard, the Group intends to seek this 展望未来,本集团希望藉着该顾问之建议,
consultant’sadvicetoincorporateandimplementbetter 以於策略、治理及管理流程中纳入且实施更
int
ernal controlover the strategic,governance and 佳内部监控。除与财务营运及报告直接相关
managementprocesses, coveringthecompany’sentire 者之外,亦会涵盖本公司活动及营运之全部
rangeofactivitiesandoperationsontopofthosedirectly 范畴。我们之长期目标乃不仅涵盖可被广泛
relatedto financialoperations and reporting.Ourlong- 定义为合规性事务之业务层面,亦扩展至业
termtargetaimstocovernotonlythoseaspectsofa 务之业绩层面。
businessthat couldbroadly be definedas compliance
matters,butextendsalsototheperformanceaspectsof
thebusiness.
Themanagementunderstandsthatgoodinternalcontrols 管理层明白到良好之内部监控须要顾及业务
needtoberesponsivetothespecificnatureandneeds 之具体性质及需求。因此,本集团将力求展
ofthebusiness.Hence,theGroupwouldseektoreflect 现出良好之业务实践,随着时间之推移於不
soundbusinesspractice,remain relevant over timein 断演变之商业环境中与时并进,并使本集团
the continuously evolving business environment and 能够响应业务与行业之具体需求。
enabletheGrouptorespondtothespecificneedsofthe
businessandindustry.
Eventually,theGroup’smanagementhopestoseethat 本集团之管理层最终目标是盼望集团能把握
business opportunitiesare maximisedandpotential 商机以获得最大利益,且减少因潜在之风险
lossesassociatedwithunwantedeventsreduced. 而产生之损失。
24 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
LiquidityandFinancialResources 现金流动性及财务资源
FinancialPositionandGearing 财务状况及借贷
TheGroup’s financialposition remainedpositivewitha 回顾期内,集团财务状况维持正面,贷款权
lowgearingthroughoutthePeriod.Asat31December 益比率处於低水平。於二零一六年十二月
2016, the Grouphad approximately HK$64.6 million 三十一日,集团由存款、银行结余及现金组
(30 June 2016: approximatelyHK$74.4 million)liquid 成之流动资金合共约64,600,000港元(二零
assets made up ofdeposits, bankbalances andcash. 一六年六月三十日:约74,400,000港元)。
CurrentassetswereapproximatelyHK$3,489million(30 流动资产约为3,489,000,000港元(二零一六
June2016:approximatelyHK$3,506million)andcurrent 年六月三十日:约3,506,000,000港元),
liabilitiesamounted to approximatelyHK$43.2 million 而流动负债则约为43,200,000港元(二零
(30 June 2016: approximatelyHK$65.8 million).With 一六年六月三十日:约65,800,000港元)。
netcurrent assetsof approximately HK$3,446 million 集团保持良好财务流动性,流动资产净额约
(30 June 2016:approximatelyHK$3,440 million),the 为3,446,000,000港元(二零一六年六月三十
Groupmaintained acomfortablelevel of liquidity.The 日:约3,440,000,000港元)。按集团总贷
gearingratiooftheGroup,definedastheGroup’stotal 款额约5,200,000港元(二零一六年六月三十
borrowingsof approximately HK$5.2 million(30 June 日:约7,400,000港元)除以本公司拥有人应
2016:approximatelyHK$7.4million)toequityattributable 占权益约3,410,000,000港元(二零一六年六
toowners of theCompanyof approximatelyHK$3,410 月三十日:约3,434,000,000港元)计算,集
million(30June2016:approximatelyHK$3,434 million), 团之贷款权益比率为0.002(二零一六年六月
was0.002(30June2016:0.002). 三十日:0.002)。
As at 31 December 2016, th
e Group’s tota
l 於二零一六年十二月三十一日,本集团总
borrowings comprised bank loans ofapproximately 贷款包括银行贷款约5,200,000港元(二零
HK$5.2million (30 June2016: approximately HK$7.4 一六年六月三十日:约7,400,000港元),当
million), with approximately HK$3.5million (30 June 中约3,500,000港元(二零一六年六月三十
2016: approximatelyHK$3.7 million)repayable within 日:约3,700,000港元)须於一年内偿还及约
one year and approximatelyHK$1.7 million(30 June 1,700,000港元(二零一六年六月三十日:约
2016: approximately HK$3.7 million) repayable in 3,700,000港元)须 於第二年内偿还。回顾期
the second year. Finance costs for the Period was 内之财务成本约为100,000港元。
approximatelyHK$0.1million.
2016/2017INTERIMREPORT 2016/17中期报告 25
KANTONEHOLDINGSLIMITED
TreasuryPolicy 库务政策
TheGroup is committed tofinancial prudence and 集团一直遵从审慎理财原则,财务状况维持
maintainsapositivefinancialpositionwithlowgearing. 正面,借贷比率处於低水平。集团主要透过
Itfinances its operationandbusiness development by 内部营运资源、资本市场财务工具及银行借
acombinationofinternally generatedresources, capital 贷作为营运及业务开发资金。
marketsinstrumentsandbankingfacilities.
Allthe borrowings wereused by subsidiariesof the 所有借贷均由本公司附属公司运用,按浮动
Companybearinginterest at floatingrates and were 利率计息,并均以当地货币计值,本集团有
denominated in their loca
l currencies. As such,the 关借贷之外汇风险不大。
currencyris
kexposure associatedwith the Group’s
borrowingswasinsignificant.
TheGroupdoesnotengageinanyspeculativederivatives 集团并无进行任何有关投机性衍生工具或结
or structured product tran
sactions, interest rate or 构性产品之交易、利率或汇率之投机买卖活
foreignexchangespeculativeactivities.ItistheGroup’s 动。集团之一贯政策是透过配对外币收入及
policytomanageforeignexchangeriskthroughmatching 支出直接管理外汇风险;假如预计可能出现
foreign exchange income with expense, and where 外汇风险,集团将运用合适之对冲工具。
exposuretoforeignexchangeisanticipated,appropriate
hedginginstrumentswillbeused.
CapitalCommitments 资本承担
As at 31 December 2016, th
e Group’s capital 於二零一六年十二月三十一日,本集团已授
commitmentsauthorised butnotcontracted for were 权但未签署合约之资本承担为零港元(二零
HK$nil(30June2016:approximatelyHK$9.8million).The 一六年六月三十日:约9,800,000港元)。
Grouphassetasidesufficientinternallygeneratedfunds 该等资本承担乃预留作购入物业、厂房及设
fortheacquisitionofproperty,plantandequipment,and 备,以及发展系统及网络之用。
developmentofsystemsandnetworks.
CHARGES 抵押
TheGroupdidnothaveanychargesonassetsasat31 於二零一六年十二月三十一日,本集团并无
December2016. 任何资产抵押。
26 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
CONTINGENTLIABILITIES 或然负债
TheGrouphadnomaterialcontingentliabilitiesasat31 於二零一六年十二月三十一日,本集团并无
December2016. 重大或然负债。
SIGNIFICANTINVESTMENTSHELD, 持有之重大投资、附属公司、联营
MATERIALACQUISITIONSAND 公司及合资企业之重大收购及出售
DISPOSALSOFSUBSIDIARIES, 事项、以及重大投资或资本资产之
ASSOCIATESANDJOINTVENTURES, 未来计划
ANDFUTUREPLANSFORMATERIAL
INVESTMENTSORCAPITALASSETS
Saveasthedisposalofsubsidiariesasdisclosedinnote 除於本报告简明综合财务报表附注3所披露
3tothecondensedconsolidatedfinancialstatementsin 之出售附属公司事项外,於截至二零一六年
thisreport,therewerenoothersignificantinvestments 十二月三十一日止六个月,概无持有其他重
held,nomaterialacquisitionsordisposalsofsubsidiaries, 大投资,亦无附属公司、联营公司及合资企
associates andjoint ventures duringthe sixmonths 业之重大收购或出售事项。於本报告日期,
ended31December2016.Therewasnoplanauthorised 董事会并无授权其他重大投资或资本资产添
bytheBoardforothermaterialinvestmentsoradditions 置计划。
ofcapitalassetsatthedateofthisreport.
HumanResourcesand 人力资源及薪酬政策
RemunerationPolicy
Asat 31December 2016, theGroupemployed about 於二零一六年十二月三十一日,本集团於全
186staffaround the globe.Staff costsof theGroup 球聘用约186名员工。截至二零一六年十二
amounted to approximatelyHK$35.1 million forthe 月三十一日止六个月,本集团员工成本约为
sixmonths ended31 December 2016 (31 December 35,100,000港元(二零一五年十二月三十一
2015:approximately HK$46.3 million). Remuneration 日:约46,300,000港元)。集团乃参考市场水
isdetermined with reference to market term
s and 平,并按照雇员本身之表现、资历及经验而
theperformance,qualifications and experienceof the 厘定薪酬。薪酬包括月薪、与表现相关之奖
individua
l employee. Remuneration includes monthly 金、退休福利计划,以及其他福利如医疗计
salaries,performance-linkedbonuses,retirementbenefits 划。
schemesandotherbenefitssuchasmedicalscheme.
2016/2017INTERIMREPORT 2016/17中期报告 27
KANTONEHOLDINGSLIMITED
Directors’InterestsandShort 董事之证券权益及淡仓
PositionsinSecurities
Asat31December2016,theinterestsofthedirectors 於二零一六年十二月三十一日,按本公司根
oftheCompanyinthesharesoftheCompanyoranyof 据证券及期货条例(「证券及期货条例」)第352
itsassociatedcorporations (withinthemeaningof Part 条须予存置之登记册记录所示,或根据香港
XVoftheSecuritiesandFuturesOrdinance(the“SFO”)) 联合交易所有限公司(「联 交所」)证券上市规
whichwererecordedintheregisterrequiredtobekept 则(「上市规则」)附录10《上市公司董事进行证
bytheCompanypursuantto Section352of theSFO, 券交易的标准守则》(「标准守则」)向本公司及
orasotherwisenotifiedtotheCompanyandTheStock 联交所另行作出之通知,本公司董事在本公
ExchangeofHongKongLimited(the“StockExchange”) 司或其任何相关法团(定义见证券及期货条例
pursuanttotheModelCodeforSecuritiesTransactions 第XV部)之股份中拥有之权益如下:
byDirectorsof ListedIssuers(the“ModelCode”) set
outinAppendix10totheRulesGoverningtheListingof
SecuritiesontheStockExchange(the “ListingRules”)
wereasfollows:
Approximate
percentage
Number oftheissued
Nameofdirector Capacity ofshares sharecapital
占已发行股本之
董事姓名 身份 股份数目 概约比率
SecuritiesoftheCompany
本公司证券
Mr.ChengYang Corporateinterest Note1 64.94%
程杨先生 公司权益 附注1
SecuritiesofChampionTechnology
HoldingsLimited“( Champion”,
theCompany’sholdingcompany)
冠军科技集团有限公司
(「冠军」,本公司之控股公司)证券
Mr.ChengYang Corporateinterest Note2 27.90%
程杨先生 公司权益 附注2
Notes: 附注:
1. 640,689,792 shares ofthe Companywere held by 1.本公司之640,689,792股股份由冠军持有。
Champion.AdvancedCityInvestmentsLimited(“Advanced 进城投资有限公司(「进城」)由程杨先生实益
City”)isbeneficiallywhollyownedbyMr.ChengYang. 全资拥有。於二零一六年十二月三十一日,
Asat31December2016,AdvancedCityhadinterestin 进城拥有冠军全部已发行股本约27.90%权
approximately27.90%oftheentireissuedshare capital 益。程杨先生因而被视为於该等由冠军持有
ofChampion.Mr. ChengYang wasdeemed to have 之本公司股份中拥有公司权益。
corporateinterestinthesharesoftheCompanyheldby
Champion.
28 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
2. 1,766,860,957sharesofChampionwereheldbyAdvanced 2.冠军之1,766,860,957股股份由进城持有。
City.Mr.ChengYangwasdeemed tohavecorporate 程杨先生因而被视为於该等由进城持有之冠
interestinthesharesofChampionheldbyAdvancedCity. 军股份中拥有公司权益。
Saveasdisclosedabove,noneofthedirectorsorchief 除上文所披露者外,於二零一六年十二月
executive of the Companyhad anyinterest or short 三十一日,按本公司根据证券及期货条例第
positionintheshares,underlyingsharesordebentures 352条须予存置之登记册记录所示,或根据标
oftheCompanyoranyofitsassociatedcorporations(as 准守则向本公司及联交所另行作出之通知,
definedinPartXVoftheSFO)asat31December2016 本公司董事或行政总裁概无在本公司或其相
asrecorded intheregister requiredtobe keptbythe 关法团(定义见证券及期货条例第XV部)之股
CompanyunderSection352oftheSFO,orasotherwise 份、相关股份或债券中拥有任何权益或淡仓。
notified to th
e Company and the Stock Exchange
pursuanttotheModelCode.
ShareOptionsandDirectors’ 购股权及董事购买股份或债券之权
RightstoAcquireSharesor 利
Debentures
Each of th
e Companyand Champion has a share 本公司及冠军各设有购股权计划,据此,合
option scheme underwhich eligible persons,including 资格人士(包括本公司及冠军或其任何附属公
directorsoftheCompanyandChampionoranyoftheir 司之董事)可获授购股权以分别认购本公司及
subsidiariesmay be grantedoptions to subscribe for 冠军之股份。
sharesoftheCompanyandChampionrespectively.
Otherthan theshareoptionschemes oftheCompany 除上述本公司及冠军之购股权计划外,本公
and Championaforementioned, at no timeduring the 司、其控股公司、其任何同系附属公司或附
Period was the Company, itsholding company,any 属公司於回顾期内任何时间概无参与任何安
ofitsfellowsubsidiariesor subsidiariesaparty toany 排,致使本公司董事可透过购入本公司或任
arrangementtoenablethedirectorsoftheCompanyto 何其他法人团体之股份或债券而获益。
acquirebenefitsbymeansof theacquisitionof shares
in, ordebentures of, theCompanyor anyother body
corporate.
During th
e Period, no option had been granted, 於回顾期内,本公司及冠军根据上述之购股
exercised, cancelled, lapsedor outstanding underthe 权计划并无授出、行使或取消任何购股权,
share optionschemes ofthe Companyand Champion 亦并无任何购股权失效或尚未行使。
aforementioned.
2016/2017INTERIMREPORT 2016/17中期报告 29
KANTONEHOLDINGSLIMITED
SubstantialShareholder 主要股东
Asat31 December 2016,thefollowingperson (other 於二零一六年十二月三十一日,按本公司根
than thedirectorsor chiefexecutiveof theCompany) 据证券及期货条例第336条须予存置之登记册
had interestsin theshare capitalof theCompany as 记录所示,下列人士(本公司董事或行政总裁
recorded intheregister required tobe keptbythe 除外)於本公司股本拥有权益:
CompanyunderSection336oftheSFO:
Approximate
percentage
Number oftheissued
Nameofshareholder Capacity ofshares sharecapital
占已发行股本之
股东名称 身份 股份数目 概约比率
Champion Beneficialowner 640,689,792 64.94%
冠军 实益拥有人
Saveasdisclosedabove,nopersonhadanyinterestor 除上文所披露者外,於二零一六年十二月
shortpositioninthesharesorunderlyingsharesofthe 三十一日,按本公司根据证券及期货条例第
Companyaccordingto theregister requiredtobekept 336条须予存置之登记册记录所示,并无任何
bytheCompanyunderSection336oftheSFOasat31 人士拥有本公司股份或相关股份之权益或淡
December2016. 仓。
Purchase,SaleorRedemptionof 购买、出售或赎回本公司之上市证
theCompany’sListedSecurities 券
DuringthePeriod,neithertheCompanynoranyof its 於回顾期内,本公司或其任何附属公司概无
subsidiariespurchased, soldor redeemed anyof the 购买、出售或赎回任何本公司之上市证券。
Company’slistedsecurities.
CorporateGovernanceCode 企业管治守则
DuringthePeriod,theCompanycompliedwiththecode 则於回顾期内,本公司遵守上市规则附录14
provisionsoftheCorporateGovernanceCodesetoutin 所载之「企业管治守则」的守则条文。
Appendix14totheListingRules.
30 2016/2017INTERIMREPORT 2016/17中期报告
KANTONEHOLDINGSLIMITED
DISCLOSUREOFINFORMATIONON 根据上市规则第13.51B(1)条披露
DIRECTORSPURSUANTTORULE 董事之资料
13.51B(1)OFTHELISTINGRULES
Pursuantto Rule 13.51B(1) of the Listing Rules,the 根据上市规则第13.51B(1)条,有关董事变动
changesin information ofthe Directors aresetout 之资料载列如下:
below:
(a) Mr.ChengYangresignedasanexecutivedirector (a) 程杨先生已於二零一七年一月二十四日
andthechiefexecutiveofficerofCultureLandmark 辞任文化地标投资有限公司(其已发行
InvestmentLimited,theissuedsharesofwhichare 股份於联交所主板上市 )之执行董事兼
listedonthemainboardoftheStockExchange,on 行政总裁。
24January2017.
(b) Mr.YangRushengresignedasanindependentnon- (b) 杨如生先生已於二零一七年一月二十四
executivedirectorofCultureLandmarkInvestment 日辞任文化地标投资有限公司(其已发
Limited,theissuedsharesof whicharelistedon 行股份於联交所主板上市 )之独立非执
themain boardof theStockExchange, andwas 行董事,并获委任为平安银行股份有限
appointedas anindependent directorof Ping An 公司(其已发行股份於深圳交易所上市)
Bank Co., Ltd., theissued shares of which are 之独立董事。
listedontheShenzhenStockExchange,bothon24
January2017.
Saveasdisclosedabove,thereisnootherchangeinthe 除上文所披露者外,概无其他有关董事资料
Directors’informationrequiredtobedisclosedpursuant 之变动须根据上市规则第13.51B(1)条予以披
toRule13.51B(1)oftheListingRules. 露。
2016/2017INTERIMREPORT 2016/17中期报告 31
KANTONEHOLDINGSLIMITED
ModelCodeforSecurities 董事进行证券交易之标准守则
TransactionsbyDirectors
TheCompanyhasadoptedacodeofconductregarding 本公司就董事进行证券交易采纳符合标准守
directors’ securitiestransactions on theterms of the 则之操守守则。本公司已向各董事作出特定
ModelCode.TheCompanyhasmadespecificenquiryof 查询,结果显示於回顾期内,各董事均遵守
alldirectorsof theCompany,resultof whichindicates 该等守则。
that the directors had compliedwith suchcode of
conductthroughoutthePeriod.
AuditCommittee 审核委员会
The auditcommittee of theCompany has reviewed 本公司之审核委员会已联同本集团管理层审
withthemanagement of theGroupthe financialand 阅本集团采用之财务及会计政策及实务、其
accountingpoliciesandpracticesadoptedbytheGroup, 内部监控及财务申报事宜、以及本中期报告。
itsinternal controlsandfinancialreportingmattersand
thisinterimreport.
ByOrderoftheBoard 承董事会命
ChengYang 主席
Chairman 程杨
HongKong,27February2017 香港,二零一七年二月二十七日
32 2016/2017INTERIMREPORT 2016/17中期报告
截至二零一六年十二月三十一日止六個月之中期業績公佈
0评论
看通集团
2017-02-27