
公司資料2 管理層討論及分析4 其他資料15 中期簡明綜合損益及其他全面收益表22 中期簡明綜合財務狀況表23 中期簡明綜合權益變動表25 中期簡明綜合現金流量表26 簡明綜合中期財務報表附註27 Corporate Information公司資料 董事會 BOARD OF DIRECTORS 執行董事任煜男先生(董事會主席兼行政總裁)張超先生 Executive DirectorsMr. Ren Yunan(Chairman of the Board and Chief Executive Officer)Mr. Zhang Chao 非執行董事唐越先生浦曉江先生 Non-executive DirectorsMr. Tang YueMr. Pu Xiaojiang 獨立非執行董事李周欣先生李文昭先生蔣國良先生 Independent Non-executive Directors Mr. Li ZhouxinMr. Lee Man ChiuMr. Jiang Guoliang 審核委員會 AUDIT COMMITTEE 李周欣先生(主席)李文昭先生蔣國良先生 Mr. Li Zhouxin(Chairman)Mr. Lee Man ChiuMr. Jiang Guoliang 提名委員會 NOMINATION COMMITTEE 李周欣先生(主席)李文昭先生蔣國良先生 Mr. Li Zhouxin(Chairman)Mr. Lee Man ChiuMr. Jiang Guoliang 薪酬委員會 REMUNERATION COMMITTEE 李文昭先生(主席)李周欣先生蔣國良先生 Mr. Lee Man Chiu(Chairman)Mr. Li ZhouxinMr. Jiang Guoliang 公司秘書 COMPANY SECRETARY 石少明先生 Mr. Shi Shaoming 授權代表 AUTHORISED REPRESENTATIVES 任煜男先生石少明先生 Mr. Ren YunanMr. Shi Shaoming 註冊辦事處 REGISTERED OFFICE Windward 3, Regatta Office Park, PO Box 1350Grand Cayman, KY1-1108, Cayman Islands Windward 3, Regatta Office Park, PO Box 1350Grand Cayman, KY1-1108, Cayman Islands 總部及香港主要營業地點 HEADQUARTERSAND PRINCIPALPLACE OF BUSINESS IN HONG KONG Unit 902-903, 9th Floor, Sino Plaza255-257 Gloucester RoadCauseway Bay, Hong Kong 香港銅鑼灣告士打道255-257號信和廣場9樓902-903室 開曼群島股份過戶登記總處 PRINCIPAL SHARE REGISTRAR ANDTRANSFER OFFICE IN THE CAYMANISLANDS Ocorian Trust (Cayman) LimitedWindward 3, Regatta Office Park, PO Box 1350Grand Cayman, KY1-1108, Cayman Islands Ocorian Trust (Cayman) LimitedWindward 3, Regatta Office Park, PO Box 1350Grand Cayman KY1-1108, Cayman Islands 香港股份過戶登記分處 BRANCHSHARE REGISTRAR ANDTRANSFER OFFICE IN HONG KONG 聯合證券登記有限公司 香港北角英皇道338號華懋交易廣場2期33樓3301-04室 Union Registrars LimitedSuites 3301-04, 33/FTwo Chinachem Exchange Square338 King’s Road, North PointHong Kong 主要往來銀行 PRINCIPAL BANKERS 香港上海�豐銀行有限公司中國銀行(香港)有限公司星展銀行(香港)有限公司 The Hong Kong and Shanghai Banking Corporation LimitedBank of China (Hong Kong) LimitedDBS Bank (Hong Kong) Limited 核數師 AUDITORS 國衛會計師事務所有限公司香港執業會計師香港中環畢打街11號置地廣場告羅士打大廈31樓 HLB Hodgson Impey Cheng LimitedCertified Public Accountants31st Floor, Gloucester Tower, The Landmark11 Pedder Street, Central, Hong Kong 公司網站 COMPANY’S WEBSITE www.okg.com.hk www.okg.com.hk 股份代號 STOCK CODE 香港聯合交易所有限公司1499 The Stock Exchange of Hong Kong Limited1499 Management Discussion and Analysis管理層討論及分析 歐科雲鏈控股有限公司(「本公司」,連同其附屬公司統稱「本集團」)董事(「董事」)會(「董事會」)欣 然 向 本 公 司股東(「股東」)提 呈 本 集 團 截 至二零二三年九月三十日止六個月(「期內」)的中期報告(「報告」)。 The board (the “Board”) of directors (the “Directors”) of OKG TechnologyHoldings Limited (the “Company”, together with its subsidiaries, the“Group”) is pleased to present to the shareholders of the Company (the“Shareholders”) the interim report (the “Report”) of the Group for the sixmonths ended 30 September 2023 (the “Period”). 財務摘要 FINANCIAL HIGHLIGHTS •期 內,本 集 團 之 收 益 約 為123.6百 萬 港 元(截至二零二二年九月三十日止六個月:約182.2百萬港元)。 •Revenueof the Group for the Period was approximatelyHK$123.6 million (for the six months ended 30 September 2022:approximately HK$182.2 million). •期內,本公司擁有人應佔虧損約為9.2百萬港元(截至二零二二年九月三十日止六個月本公司擁有人應佔溢利:約35.2百萬港元)。該虧損乃主要由於來自數字資產相關業務分部收益減少。 •Loss attributable to the owners of the Company for the Periodamounted to approximately HK$9.2 million (Profit attributable to theowners of the Company for the six months ended 30 September2022:approximately HK$35.2 million).The loss was mainlyattributable to the decrease of the revenue from digital assetsrelated businesses segment. •期內,每股基本及攤薄虧損約為0.17港仙(截至二零二二年九月三十日止六個月每股基本及攤薄盈利:約0.66港仙)。 •Basic and diluted loss per share for the Period amounted toapproximately HK cents 0.17 (Basic and diluted earnings per sharefor the six months ended 30 September 2022: approximately HKcents 0.66). •董 事 會 不 建 議 派 付 期 內 之 任 何 中 期股息(截至二零二二年九月三十日止六個月:無)。 •The Board does not recommend the payment of any interimdividend for the Period (For the six months ended 30 September2022: Nil). 業務回顧 BUSINESS REVIEW 本集團的主要收益來源來自地基、樓宇建築工程及配套服務、建築廢物處理服務、數字資產相關業務、技術服務及其他業務。 The Group’s major sources of revenue are from foundation, buildingconstruction works and ancillary services, construction wastes handlingservices, digital assets related businesses, technical services and otherbusinesses. 於期內,本集團的業務性質及主要活動並無重大的變動。 During the Period, the Group had no material change in its businessnature and principal activities. 業務回顧(續) BUSINESS REVIEW (CONTINUED) Foundation, Building Construction Works andAncillary Services 地基、樓宇建築工程及配套服務 本集團的地基工程主要包括樓宇建築工程、地盤平整工程、挖掘及側向承托(「挖掘及側向承托」)工程、打樁施工、樁帽或樁基施工及鋼筋混凝土結構工程,以及配套服務(其主要包括圍板及拆遷工程)及租賃機械。 The foundation works of the Group mainly include building constructionworks, site formation works, excavation and lateral support (“ELS”)works, piling construction, pile caps or footing construction and reinforcedconcrete structure works, and ancillary services which mainly includehoarding and demolition works and lease of machinery. 於期內,來自此分部的收益約為89.9百萬港元,較二零二二年同期約84.8百萬港元增加約6.0%。該增加乃主要由於若干利潤率較高的項目處於最後階