2020/21* 2021/22 2023* 2024 2025 SUMMARY OF CONSOLIDATED STATEMENTS OF FINANCIAL POSITION (RM’000) Investments 96 - - - 1,306 Property, plant and equipment and intangible assets 1,634,291 2,777,406 3,393,581 3,221,897 2,555,563 Receivables and contract assets 129,437 464,359 336,753 186,111 123,937 Cash and cash equivalent 393,145 1,015,196 669,954 525,509 625,902 Other assets 22,779 368,669 241,601 206,058 146,929 Asset Held For Sale - - - 74,728 - Total assets 2,179,748 4,625,630 4,641,889 4,214,303 3,453,637 Share capital 785,437 1,017,319 1,017,403 1,130,449 1,131,270 Reserves 237,499 837,580 752,237 659,163 208,252 Equity attributable to shareholders of the Company 1,022,936 1,854,899 1,769,640 1,789,612 1,339,522 Non-controlling interests 30,551 474,119 403,662 402,638 361,967 Loans and borrowings 86,380 319,359 297,403 133,316 134,409 Other liabilities 1,039,881 1,977,253 2,171,184 1,888,737 1,617,739 Total equity and liabilities 2,179,748 4,625,630 4,641,889 4,214,303 3,453,637 SUMMARY OF CONSOLIDATED STATEMENTS OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME (RM’000) Revenue 330,503 1,457,385 1,912,931 1,174,019 1,041,053 Results from operating activities (17,115) 401,445 217,177 (24,532) (43,289) Finance costs (6,295) (50,217) (76,680) (37,933) (26,365) Gain/(Loss) on disposal of investment (833) - 80 - - Impairment losses (155,147) (9,602) (17,924) (29,791) (498,328) Finance income 1,382 6,856 34,591 13,862 10,021 Effect from business combination 273,745 264,508 - - - Share of loss of an equity-accounted associate and a joint venture (18,331) - - - (944) Profit/(Loss) before tax 77,406 612,990 157,244 (78,394) (558,905) Zakat (204) (638) (1,051) (1,476) (1,507) Tax (expense)/income (8,569) 94,922 (346,978) (9,769) 94,863 Profit/(Loss) for the year 68,633 707,274 (190,785) (89,639) (465,549) Attributable to: Owners of the Company 119,976 549,587 (119,947) (50,361) (344,878) Non-controlling interests (51,343) 157,687 (70,838) (39,278) (120,671) Profit/(Loss) for the year 68,633 707,274 (190,785) (89,639) (465,549) FINANCIAL RATIOS Revenue growth 13.8 341.0 31.3 1.0^ (11.3) Debt/Equity ratio 0.1 0.1 0.1 0.1 0.1 Net earnings/(loss) per share 6.24 17.68 (3.80) (1.51) (9.93) Gross dividend per share - 0.60 - - - Net assets per share 0.39 0.74 0.69 0.63 0.49 Closing price 70.5 79.0 40.0 41.0 32.0 Price earnings ratio 11.3 4.5 (10.5) (27.2) (3.2) % times sen sen RM sen times * 18 months ^ comparing to 12 months period in FY2023 5-YEAR FINANCIAL SUMMARY 63 OPERATIONAL REVIEW SUSTAINABILITY STATEMENT GOVERNANCE FINANCIAL STATEMENTS SHAREHOLDERS’ INFORMATION INTELLIGENCE POWERING
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