Risk Management & Internal Control Statement


Pursuant to Rule 15.26 (b) of the ACE Market Listing Requirements (“Listing Requirements”) of Bursa Malaysia Securities Berhad (“Bursa Securities”), the Board is required to make a statement in the annual report on the state of the internal control of the Group. In this respect, the Board is pleased to present the following Statement on Risk Management and Internal Control prepared in accordance with the Listing Requirements of Bursa Securities and as guided by the Statement on Risk Management and Internal Control: Guidelines for Directors of Listed Issuers by the Taskforce on Internal Control.