Financial Year Ended 31 December 2026 2025 2024 2023 2022
  3 months
Unaudited
12 months
Actual
12 months
Actual
12 months
Actual
12 months
Actual
KEY FINANCIAL DATA
STATEMENT OF COMPREHENSIVE INCOME (RM'000)
Revenue 470,357 1,749,441 1,916,171 1,591,043 2,343,764
Profit Before Taxation (PBT) 46,235 171,813 157,321 34,542 213,522
Profit After Taxation (PAT) 39,775 154,102 120,777 16,316 159,212
Profit Attributable to Equity Shareholders 39,529 152,786 118,335 13,337 157,095
 
STATEMENT OF FINANCIAL POSITION (RM'000)
Share Capital 323,885 323,885 323,885 323,885 323,885
Equity Attributable to Equity Holders of The Company 3,740,603 3,708,175 3,644,770 3,835,979 3,875,666
Net Assets 3,740,603 3,708,175 3,644,770 3,835,979 3,875,666
Net Tangible Assets 3,734,618 3,702,160 3,638,670 3,829,875 3,869,632
Total Borrowings 14,888 18,464 59,255 10,439 72,231
 
STATEMENT OF CASH FLOWS (RM'000)
Net Operating Cash Flows 114,348 351,512 125,719 202,758 93,381
Cash and Cash Equivalents 1,660,845 1,588,110 1,666,738 2,094,031 2,072,577
 
KEY RATIOS
EBITDA Margin (%) 13.95 13.55 11.58 6.68 13.44
PBT Margin (%) 9.83 9.82 8.21 2.17 9.11
PAT Margin (%) 8.46 8.81 6.30 1.03 6.79
Basic Earnings Per Share (sen) 1.56 6.02 4.64 0.52 6.16
Net Assets Per Share (RM) 1.48 1.47 1.43 1.50 1.52
Net Tangible Assets Per Share (RM) 1.48 1.46 1.43 1.50 1.52
Return on Shareholders' Equity (%) 1.06 4.12 3.25 0.35 4.05
Return on Assets (%) 0.96 3.77 2.94 0.39 3.68
Gearing Ratio (times) 0.00 0.00 0.02 0.00 0.02
Net Gearing Ratio (times) Net Cash Net Cash Net Cash Net Cash Net Cash