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 (in RM'000)
Revenue 521,932 1,976,263 3,608,561 3,309,392 1,651,643
Earnings Before Interest, Tax, Depreciation & Amortisation (EBITDA) 35,776 183,028 208,683 (405,678) 118,570
Profit/(Loss) Before Tax (PBT) 14,694 104,518 123,268 (483,052) 46,734
Profit/(Loss) After Tax (PAT) 14,293 102,789 121,026 (484,195) 67,638
Profit Attributable to Equity Holders of the Company 14,293 102,856 120,996 (484,185) 67,773
 
STATEMENT OF FINANCIAL POSITION (in RM'000)
Share Capital 1,618,263 1,618,263 1,618,263 1,618,263 1,618,263
Total Assets 3,353,046 3,132,947 3,530,512 3,649,320 3,358,124
Total Liabilities 1,849,337 1,643,351 2,150,156 2,381,980 1,588,614
Total Equity 1,503,709 1,489,596 1,380,356 1,267,340 1,769,510
 
STATEMENT OF CASH FLOWS (in RM'000)
Net Operating Cash Flow (56,098) 172,651 124,127 (162,824) 135,851
Cash and Cash Equivalents 586,964 445,579 445,409 545,389 784,856
 
RATIO ANALYSIS
PER SHARE DATA
Earnings Per Share (EPS) (in sen) 0.89 6.43 7.56 (30.26) 4.24
Net Tangible Assets Per Share (in RM) 0.94 0.93 0.86 0.79 1.11
 
PROFITABILITY (in %)
EBITDA Margin 6.85 9.26 5.78 (12.26) 7.18
PBT Margin 2.82 5.29 3.42 (14.60) 2.83
PAT Margin 2.74 5.20 3.35 (14.63) 4.10
 
GEARING (in times)
Gearing Ratio 0.31 0.17 0.19 0.29 0.19
 
LIQUIDITY (in times)
Current Ratio 0.87 0.85 0.89 0.88 1.22
 
VALUATION (in RM'000)
Market Capitalisation 608,000 584,000 616.000 768,000 952,000