Financial Year Ended 30 June/31 December 2026 2025 2024 2023 2022
  6 months
(Unaudited)
12 months
(Audited)
12 months
(Audited)
12 months
(Audited)
18 months
(Audited)
KEY FINANCIALS
STATEMENT OF COMPREHENSIVE INCOME (RM'000)
Revenue^ 338,110 738,635 550,327 488,889 547,963
Earnings Before Interest, Tax, Depreciation & Amortisation (EBITDA)* 26,554 60,567 47,878 41,715 46,927
Profit Before Taxation (PBT)^ 22,173 46,384 45,423 38,879 33,173
Profit After Taxation (PAT) 16,758 64,534 35,775 33,875 24,106
Profit Attributable To Equity Holders 16,554 60,997 35,723 33,811 18,284
 
STATEMENT OF FINANCIAL POSITION (RM'000)
Share Capital 229,340 229,340 229,135 228,863 228,863
Shareholders’ Equity 674,594 686,417 654,271 517,045 493,312
Net Assets 674,594 686,417 654,271 517,045 493,312
Net Tangible Assets 632,169 643,893 611,429 517,045 493,312
Total Borrowings 45,478 74,869 54,915 41,114 54,037
Cash and Bank Balances 498,616 520,733 412,413 405,568 391,930
 
STATEMENT OF CASH FLOWS (RM'000)
Net Operating Cash Flow 38,969 29,960 49,053 38,507 3,927
Cash and Cash Equivalents 498,406 516,353 403,236 385,721 371,589
 
RATIO ANALYSIS
PROFITABILITY (%)
EBITDA Margin 7.85 8.20 8.70 8.53 8.56
PBT Margin 6.56 6.28 8.25 7.95 6.05
PAT Margin 4.96 8.74 6.50 6.93 4.40
 
PER SHARE DATA
Basic Earnings / (Loss) Per Share (sen) 1.54 9.69 6.42 6.08 3.29
Net Assets Per Share (RM) 1.21 1.23 1.17 0.93 0.89
Net Tangible Assets Per Share (RM) 1.13 1.16 1.10 0.93 0.89
 
GEARING (times)
Gearing Ratio 0.07 0.11 0.08 0.08 0.11
 
VALUATION
Market Capitalisation 543,328 362,219 428,827 269,885 300,491

Note:

^ Continuing Operations