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Financial Statements




   
Group Group
2010 2009
RM RM
Revenue 117,107,133 92,340,834
Other operating income 1,391,863 979,298
Advertising expenses (3,419,301) (1,382,650)
Contract and outsourcing cost (13,190,560) (15,972,842)
Depreciation (1,413,416) (1,354,280)
Rental of office and equipment (1,500,295) (1,498,941)
Staff costs (36,313,235) (27,338,513)
Telecommunication expenses (1,070,652) (907,627)
Travelling expenses (635,468) (531,055)
Other operating expenses (10,513,313) (8,762,125)
Results from operating activities 50,442,756 35,572,099
Interest income 1,007,657 991,613
Reversal of diminution in value on other investments - 1,765,946
Impairment losses on investments in a subsidiary and an associate - (700,000)
Impairment loss on intangibles (330,000) -
Finance costs (14,333) (18,741)
Gain on disposal of a subsidiary - 66,272
Gain on financial assets classified as fair value through profit or loss 185,662 -
Share of profit/(loss) of equity accounted associate and jointly-controlled entities, net of tax 3,864,495 (1,052,597)
Profit before tax 55,156,237 36,624,592
Tax expense (12,018,589) (7,378,695)
Profit for the year 43,137,648 29,245,897
Other comprehensive income, net of tax
Foreign currency translation differences for foreign operations (769,134) 116,968
Fair value of available-for-sale financial assets 6,203,000 -
Other comprehensive income for the year, net of tax 5,433,866 116,968
Profit and total comprehensive income for the year 48,571,514 29,362,865
Profit attributable to:
Owners of the Company 40,980,718 27,687,155
Minority interests 2,156,930 1,558,742
Profit for the year 43,137,648 29,245,897
 
Basic earnings per ordinary share based on profit attributable to owners of the Company (sen) 13.01 8.90
 
Diluted earnings per ordinary share based on profit attributable to owners of the Company (sen) 12.65 8.79
     
Total comprehensive income attributable to:
Owners of the Company 46,531,200 27,801,376
Minority interests 2,040,314 1,561,489
Total comprehensive income for the year 48,571,514 29,362,865
     
   
Group Group
2010 2009
RM RM
Assets
Property and equipment 14,332,248 13,517,753
Intangible assets 2,648,047 2,978,047
Investments in subsidiaries - -
Investments in associates and jointly-controlled entities 81,116,506 5,654,723
Other investments 27,427,911 65,755,384
Deferred tax assets 3,030,032 143,088
Total non-current assets 128,554,744 88,048,995
 
Other investments 12,027,783 8,305,231
Tax recoverable 6,710 1,500
Trade and other receivables 13,090,450 9,914,844
Prepayments and other assets 1,114,662 1,086,090
Cash and cash equivalents 50,180,499 50,640,907
Total current assets 76,420,104 69,948,572
Total assets 204,974,848 157,997,567
 
Equity
Share capital 63,680,000 62,988,580
Reserves 103,481,542 64,203,933
Total equity attributable to owners of the Company 167,161,542 127,192,513
Minority interest 1,149,892 3,057,548
Total equity 168,311,434 130,250,061
 
Liabilities
Loans and borrowings 368,843 514,916
Deferred tax liabilities - 215,346
Total non-current liabilities 368,843 730,262
     
Loans and borrowings 157,815 154,297
Deferred income 24,465,214 18,218,368
Trade and other payables 8,829,296 6,746,308
Taxation 2,842,246 1,898,271
Total current liabilities 36,294,571 27,017,244
Total liabilities 36,663,414 27,747,506
Total equity and liabilities 204,974,848 157,997,567
     
   
Group Group
2010 2009
RM RM
Cash flows from operating activities
Profit before tax 55,156,237 36,624,592
Adjustments for:
  Depreciation 1,413,416 1,354,280
  Property and equipment written off 5 9,004
  Loss/(Gain) on disposal of property and equipment 20,015 (471)
  Share-based payments 1,068,197 236,701
  Share of (profit)/loss after tax and minority interest   of equity accounted associates and jointly-
  controlled entities
(3,864,495) 1,052,597
  Dividend income (1,032,312) (2,214,039)
  Negative goodwill on acquisition of a subsidiary (564,928) -
  Gain on disposal of equity interest in a subsidiary - (66,272)
  Interest income (1,007,657) (991,613)
  Finance costs 14,333 18,741
  Gain on disposal of investments in unit trusts - (32,488)
  Investment distribution income (232,148) (223,824)
  Impairment loss on investment in subsidiaries - -
  Impairment loss on investment in an associate - 700,000
  Impairment loss on intangibles 330,000 -
  Reversal of diminution in value on other   investments - (1,765,946)
  Gain on financial assets classified as fair value   through profit or loss (185,662) -
  Unrealised foreign exchange loss/(gain) 187,065 (107,790)
Operating profit before working capital changes 51,302,066 34,593,472
Changes in trade and other receivables (2,757,700) 204,011
Changes in prepayments and other financial assets (15,974) 437,133
Changes in deferred income 6,279,945 1,881,649
Changes in trade and other payables 19,148 (739,908)
Cash generated from operations 54,827,485 36,376,357
Income tax paid (12,813,809) (7,531,686)
Interest received 1,007,657 991,613
Finance costs (14,333) (18,741)
Net cash generated from operating activities 43,007,000 29,817,543
 
Cash flows from investing activities
Acquisition of subsidiaries, net of cash acquired 1,490,026 (111,325)
Disposal of subsidiaries, net cash outflow - (33,493)
Investment distribution income received 232,148 223,824
Increase in investments in an associate (11,740,811) -
Acquisition of other investments (17,424,202) (30,472,850)
Purchase of property and equipment (2,267,425) (916,734)
Purchase of treasury shares (4,910) (2,624,300)
Proceeds from disposal of property and equipment 9,232 1,644
Proceeds from redemption of investments in quoted unit trusts - 9,861,007
Dividends received from a subsidiary - -
Dividends received from an associate 3,072,978 -
Dividends received from other investments 1,032,312 1,945,642
Net cash (used in)/from investing activities (25,600,652) (22,126,585)
 
Cash flows from financing activities
Dividends paid to shareholders of the Company (17,360,920) (9,367,200)
Dividends paid to minority shareholders (3,035,133) (839,152)
Proceeds from issuance of shares pursuant to ESOS 3,568,734 1,902,601
Repayment of borrowings (157,816) (150,679)
Net cash used in financing activities (16,985,135) (8,454,430)
 
Net increase/(decrease) in cash and cash equivalents 421,213 (763,472)
 
Cash and cash equivalents at beginning of the year 50,640,907 51,119,836
 
Effects of exchange rate changes on cash and cash equivalents (881,621) 284,543
Cash and cash equivalents at end of year 50,180,499 50,640,907