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Financial Statements




   
Group Group
2018 2017
RM RM
Continuing operation
Revenue 8,530,267 9,895,392
Other operating income 5,857 14,851
Contract and outsourcing cost (719,971) (668,561)
Depreciation of property & equipment (109,476) (110,146)
Rental of office and equipment (94,499) (120,069)
Staff costs (2,680,219) (4,204,677)
Other operating expenses (1,864,854) (6,030,276)
Results from operating activities 3,067,105 (1,223,486)
Interest income 37 7,474
Loss on financial assets
  classified as fair value
  through profit or loss
(164,351) (412,175)
Gain/(loss) on accretion/(dilution) of interest in an associate 56,767 52,180
Loss on changes in fair value of
  investment properties
(500,000) (300,000)
Gain on disposal of investments
  in quoted shares
- 138,322
Share of profit of equity
  accounted associates, net of tax
8,979,804 10,579,288
Profit before tax 11,439,362 8,841,603
Tax expense (1,485,158) (1,976,950)
Profit for the year 9,954,204 6,864,653
 
Profit for the year 9,954,204 6,864,653
Other comprehensive income,
  net of tax
Items that will not be
  reclassified subsequently
   to profit or loss
Net change in fair value of
  equity investments
  designated at fair value
  through other comprehensive
  income
- Loss on price change (7,121,118) -
- Gain on exchange differences 901,126 -
Items that are or may be
  reclassified subsequently to
   profit or loss
Foreign currency translation
  differences for foreign operations
(1,041,486) (1,923,605)
Fair value of available-for-sale
  financial assets
- Gain on price change - 7,477,917
- (Loss)/Gain on exchange differences - (4,790,693)
Share of (loss)/gain of equity
   accounted associates
41,378 (418,314)
Total other comprehensive
  (expense)/income for the year net of tax
(7,220,100) 345,305
Total comprehensive income for
   the year
2,734,104 7,209,958
 
Profit attributable to:
Owners of the Company 9,895,431 6,816,696
Non-controlling interests 58,773 47,957
Profit for the year 9,954,204 6,864,653
 
Total comprehensive income
  attributable to:
Owners of the Company 2,671,149 7,166,467
Non-controlling interests 62,955 43,491
Total comprehensive income
   for the year
2,734,104 7,209,958
 
Basic earnings per ordinary share based on profit attributable to owners of the Company (sen) 7.13 4.88
   
Group Group
2018 2017
RM RM
Assets
Property and equipment 299,906 286,153
Investment Properties 19,388,000 19,888,000
Investments in associates 119,970,189 121,823,632
Other investments 54,161,360 59,191,137
Total non-current assets 193,819,455 201,188,922
 
Other investments 64,191,174 48,580,485
Trade and other receivables 885,640 1,262,877
Prepayments and other assets 198,000 123,017
Deposits with licensed banks
  with original maturities
  more than three months
46,866,265 44,110,400
Cash and cash equivalents 24,161,435 41,774,591
Total current assets 136,302,514 135,851,370
Total assets 330,121,969 337,040,292
 
Equity
Share capital 196,619,727 196,619,727
Reserves 131,965,752 138,420,914
Total equity attributable to owners of the Company 328,585,479 335,040,641
Non-controlling interests 127,965 65,010
Total equity 328,713,444 335,105,651
 
Liabilities
Deferred tax liabilities 50,509 49,239
Total non-current liabilities 50,509 49,239
 
Other payables 1,342,075 1,823,030
Current tax payables 15,941 62,372
Total current liabilities 1,358,016 1,885,402
Total liabilities 1,408,525 1,934,641
Total equity and liabilities 330,121,969 337,040,292
   
Group Group
2018 2017
RM RM
Cash flows from operating activities
Profit before tax 11,439,362 8,841,603
 
Adjustments for:
  Changes in fair value of
    investment properties
500,000 300,000
  Depreciation of property and
    equipment
109,476 110,146
  Share of profit after tax of
    equity-accounted associates
(8,979,804) (10,579,288)
  Dividend income (3,202,188) (3,308,018)
  Interest income (2,131,784) (1,175,311)
  Investment distribution income (1,976,949) (2,701,947)
  Gain on disposal of investments
    in quoted shares
- (138,322)
  Loss on financial assets classified
    as fair value through profit or loss
164,351 412,175
  Gain on changes of interest
    in associates
(56,767) (52,180)
  Unrealised foreign exchange
    (gain)/loss
(408,613) 3,814,224
Operating loss before working capital changes (4,542,916) (4,476,918)
Changes in trade and other receivables 76,505 240,452
Changes in prepayments and other assets (74,415) (5,789)
Changes in other payables (331,876) (230,900)
Cash used in operations (4,872,702) (4,473,155)
Income tax paid (1,530,916) (1,778,329)
Interest received 2,423,871 488,144
Net cash used in operating activities (3,979,747) (5,763,340)
 
Cash flows from investing activities
Acquisition of other investments (102,338,575) (7,411,960)
Acquisition of property and equipment (123,144) (20,253)
Acquisition of treasury shares (3,182,261) (360,983)
Dividends received from an associate 9,764,252 11,665,784
Dividends received from other
  other investments
3,202,188 3,308,018
Investment distribution income
   received
1,976,949 2,701,947
Net change in deposits with
  licensed banks with original
   maturities more than 3 months
(2,755,865) (10,928,800)
Proceeds from disposal of
  other investments
85,701,002 52,212,489
Net cash from/(used in) investing activities (7,755,454) 51,166,242
 
Cash flows from financing activities
  Dividends paid to shareholders of the Company (6,267,713) (2,797,362)
Net cash used in financing activities (6,267,713) (2,797,362)
Net (decrease)/increase in cash and cash equivalents (18,002,914) 42,605,540
Cash and cash equivalents at beginning of the year 41,774,591 3,195,529
Effects of exchange rate fluctuations on cash held 389,758 (4,026,478)
Cash and cash equivalents at end of year 24,161,435 41,774,591
 
Cash and cash equivalents
Cash and cash equivalents included in the statements of cash flows comprise the following statements of financial position amounts:
Deposits with licensed banks 20,077,575 32,027,775
Cash and bank balances 4,083,860 9,746,816
24,161,435 41,774,591