Investor Relations Home





NEWS UPDATES

INFORMATION REQUEST


Financial Statements




Group
2004
RM
   
Revenue 34,931,588
Other operating income 682,735
Advertising expenses (603,811)
Allowance for doubtful debts (380,669)
Contract and outsourcing cost (8,406,594)
Depreciation (540,423)
Rental of office and equipment (751,754)
Staff costs (10,565,544)
Telecommunication expenses (297,589)
Travelling expenses (470,210)
Other operating expenses (3,160,123)
Operating profit 10,437,606
Interest income 283,976
Interest expense (629,809)
Profit before taxation 10,091,773
Tax expense (402,050)
Profit after taxation 9,689,723
Minority interests (406,670)
Net profit from ordinary activities 9,283,053
Pre-acquisiton profit (6,869,899)
Net profit for the period 2,413,154
Basic earnings per ordinary shares (sen) 4.57
Diluted earnings per ordinary shares (sen) 4.50
Group
2004
RM
Equipment 1,345,556
Investments in subsidiaries -
Investment 116,279
Goodwill 3,524,072
Deferred tax assets 58,732
   
Current assets
Trade and other receivables 7,402,321
Tax recoverable 363,434
Cash and cash equivalents 24,401,203
32,166,958
Current liabilities  
Trade and other payables 7,077,082
Taxation 250,708
7,327,790
Net current assets 24,839,168
29,883,807
   
Financed by:
Capital and reserves
Share capital 20,100,000
Reserves 8,931,622
Shareholders' funds 29,031,622
Minority shareholders' interest 843,260
Deferred tax liabilities 8,925
29,883,807
   
 
Group
2004
RM
Cash flows from operating activities
Profit before taxation 10,091,773
Adjustments for:
Depreciation 141,645
Equipment written off 429
Gain on disposal of equipment (85)
Interest income (130,101)
Pre-acquisition profit before tax (7,567,067)
Operating profit before working capital changes 2,536,594
   
Changes in working capital:
Trade and other receivables 745,934
Trade and other payables and deferred income 303,595
Exchange differences 66,211
Cash generated from operations 3,652,334
Income tax paid (154,185)
Interest received 130,101
Net cash generated from operating activities 3,628,250
 
Cash flows from investing activities
Acquisition of investment (116,279)
Acquisition of subsidiaries, net of cash required 13,069,473
Purchase of equipment (214,160)
Proceeds from disposal of equipment 85
Net cash generated from investing activities 12,739,119
 
Cash flows from financing activity
Proceeds from issuance of shares net of listing expenses  7,951,316
Net cash generated from financing activity 7,951,316
 
Net increase in cash and cash equivalents 24,318,685
Cash and cash equivalents at beginning of period 2
Effects of exchange rate changes on cash and cash equivalents 82,516
Cash and cash equivalents at end of period 24,401,203
 
Cash and cash equivalents comprise:
Fixed deposits with licensed banks 19,096,551
Cash and bank balances 5,304,652
24,401,203