Annual Report 2022

24 SHOUGANG CENTURY HOLDINGS LIMITED 首佳科技製造有限公司 MANAGEMENT DISCUSSION AND ANALYSIS 管理層論述及分析 研發費用 於本年度本集團來自持續經營業務之研發 費用報港幣 103,335,000 元,比去年報港幣 103,676,000 元下降 0.3% 。該等費用全都是鋼 簾線分部因應輪胎製造客戶的要求所產生。 其他收入 本集團來自持續經營業務之其他收入由截至 二零二一年十二月三十一日止年度的港幣 4,062,000 元增加 410.5% 至截至二零二二年 十二月三十一日止年度的港幣 20,738,000 元。 這主要由於政府補貼增加。 其他收益╱(虧損),淨額 截至二零二二年十二月三十一日止年度,本集 團來自持續經營業務之其他收益╱(虧損),淨 額錄得收益港幣 21,498,000 元,而截至二零 二一年十二月三十一日止年度則錄得虧損港幣 22,622,000 元,這主要是由於本年度可換股債 券的公平值收益為港幣 21,700,000 元。 財務成本,淨額 於本年度,本集團來自持續經營業務之財務成 本,淨額由港幣 13,401,000 元增加 277.7% 至 港幣 50,615,000 元,這主要是由於本集團於本 年度錄得貸款及可換股債券之外幣匯兌虧損分 別為港幣 14,479,000 元及港幣 14,071,000 元。 Research and development expenses Research and development expenses for the continuing operations of the Group amounted to HK$103,335,000 for the year, decreased by 0.3% as compared to HK$103,676,000 for last year. Such expenses were all incurred by the steel cord segment for aligning with the requirements from our tyres manufacturing customers. Other income Other income for the continuing operations of the Group increased by 410.5% from HK$4,062,000 for the year ended 31 December 2021 to HK$20,738,000 for the year ended 31 December 2022. This was primarily due to increase in government grants. Other gains/(losses), net Other gains/(losses), net for the continuing operations of the Group for the year ended 31 December 2022 recorded the gains of HK$21,498,000 while that for the year ended 31 December 2021 was the losses of HK$22,622,000. This was primarily due to HK$21,700,000 in fair value gain on Convertible Bonds in the current year. Finance costs, net Finance costs, net for the continuing operations of the Group increased by 277.7% from HK$13,401,000 to HK$50,615,000 for the year. This is mainly because the Group recorded foreign exchange losses on borrowings and Convertible Bonds of HK$14,479,000 and HK$14,071,000 respectively during the current year.

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