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Financial Statements




   
Group Group
2020 2019
RM RM
Revenue 6,021,451 8,686,664
Other operating income 230,742 12,842
Contract and outsourcing cos (479,536) (709,609)
Depreciation of property and equipment (162,270) (92,296)
Depreciation of right-of-use assets (119,224) (36,898)
Expenses relating to short term
  lease and low value assets
(2,520) (88,701)
Staff costs (2,984,854) (2,559,860)
Other operating expenses (2,526,455) (2,030,093)
Results from operating activities (22,666) 3,182,049
Interest income
Interest expense
19
(10,412)
64,657
(8,029)
Net interest income (10,393) 56,628
Loss on financial assets
  classified as fair value
  through profit or loss
(4,446) (22,040)
Gain/(loss) on accretion/(dilution) of
  interest in an associate
- 17,036
Loss on changes in fair value of
  investment properties
(500,000) (500,000)
Share of profit of equity
  accounted associates, net of tax
8,421,320 9,086,050
Profit before tax 7,883,815 11,819,723
Tax expense (1,493,790) (1,500,306)
Profit for the year 6,390,025 10,319,417
 
Profit for the year 6,390,025 10,319,417
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 (6,517,288) (4,557,917)
- (Loss)/gain on exchange differences 130,993 (368,739)
Items that are or may be
  reclassified subsequently to
   profit or loss
Foreign currency translation
  differences for foreign operations
5,225,244 768,767
Share of (loss)/gain of equity-
  accounted associates
(118,616) (209,507)
Total other comprehensive
  expense for the year, net of tax
(1,279,667) (4,367,396)
Total comprehensive income for
   the year
5,110,358 5,952,021
 
Profit attributable to:
Owners of the Company 6,450,450 10,310,150
Non-controlling interests (60,425) 9,267
Profit for the year 6,390,025 10,319,417
 
Total comprehensive income
  attributable to:
Owners of the Company 5,164,992 5,941,120
Non-controlling interests (54,634) 10,901
Total comprehensive income
   for the year
5,110,358 5,952,021
 
Basic earnings per ordinary
  share based on profit
  attributable to owners of the
  Company (sen):
4.80 7.55
   
Group Group
2020 2019
RM RM
Assets
Property and equipment 117,876 240,712
Right-of-use assets 81,321 73,716
Investment properties 18,388,000 18,888,000
Investments in associates 125,091,464 120,945,238
Other investments 50,215,792 50,118,135
Total non-current assets 193,894,453 190,265,801
 
Other investments 44,242,390 55,896,225
Current tax assets - 75,852
Trade and other receivables
614,398 806,738
Prepayments and other assets
127,674 157,026
Deposits with licensed banks
  with original maturities
  more than three months
31,207,555 62,445,103
Cash and cash equivalents 55,431,594 18,185,688
Total current assets 131,623,611 137,566,632
Total assets 325,518,064 327,832,433
 
Equity
Share capital 196,619,727 196,619,727
Reserves 126,979,094 129,198,302
Total equity attributable to owners of the Company 323,598,821 325,818,029
Non-controlling interests 84,232 138,866
Total equity 323,683,053 325,956,895
 
Liabilities
Lease liabilities - 19,380
Deferred tax liabilities 124,951 206,308
Total non-current liabilities 124,951 225,688
 
Lease liabilities 82,802 56,237
Other payables 1,594,342 1,586,827
Current tax payables 32,916 6,786
Total current liabilities 1,710,060 1,649,850
Total liabilities 1,835,011 1,875,538
Total equity and liabilities 325,518,064 327,832,433
   
Group Group
2020 2019
RM RM
Cash flows from operating activities
Profit before tax 7,883,815 11,819,723
 
Adjustments for:
  Changes in fair value of
    investment properties
500,000 500,000
  Depreciation of property and
    equipment
162,270 92,296
  Depreciation of right-of-use
    assets
119,224 36,898
Property and equipment written off 13 -
  Share of profit after tax of
    equity-accounted associates
(8,421,320) (9,086,050)
  Dividend income (1,997,163) (3,311,707)
  Interest income (1,559,615) (1,956,552)
  Finance cost 10,412 8,029
  Investment distribution income (996,699) (2,138,308)
  Loss on financial assets classified
    as fair value through profit or loss
4,446 22,040
  Gain on changes of interest
    in associates
- (17,036)
   Unrealised foreign exchange
    loss/(gain)
380,367 363,617
   Reversal of impairment loss from
    trade receivables
- (600)
Operating loss before working capital changes (3,914,250) (3,667,650)
Changes in trade and other receivables (115,594) 122,867
Changes in prepayments and other assets 30,618 42,186
Changes in other payables 10,921 252,505
Cash used in operations (3,988,305) (3,250,092)
Income tax paid (1,473,112) (1,873,399)
Interest received 1,866,613 1,906,317
Interest paid (10,439) (8,012)
Net cash used in operating activities (3,603,243) (3,225,186)
 
Cash flows from investing activities
Acquisition of other investments (58,942,261) (134,059,353)
Acquisition of property and equipment (39,445) (33,063)
Acquisition of treasury shares (2,009,322) (3,241,388)
Dividends received from an associate 9,365,733 8,662,096
Dividends received from other
  investments
1,242,105 3,311,707
Investment distribution income
   received
996,699 2,138,308
Net change in deposits with
  licensed banks with original
   maturities more than 3 months
31,237,548 (15,578,838)
Proceeds from disposal of
  other investments
64,862,756 141,899,026
Net cash generated from/(used in)
   investing activities
46,713,813 3,098,495
 
Cash flows from financing activities
  Dividends paid to shareholders of the Company (5,374,878) (5,467,182)
Payment of lease liabilities (120,221) (34,948)
Net cash used in financing activities (5,495,099) (5,502,130)
Net decrease in cash and
  cash equivalents
37,615,471 (5,628,821)
Cash and cash equivalents at
  beginning of the year
18,185,688 24,161,435
Effects of exchange rate
  fluctuations on cash held
(369,565) (346,926)
Cash and cash equivalents
  at end of year
55,431,594 18,185,688
 
Cash outflows for leases as a lessee
Included in net cash from operating
  activities
Payment relating to short-term leases - 79,683
Payment relating to leases of low value
  assets
2,340 1,980
Interest paid in relation to lease liabilities 10,439 8,012
Included in net cash from
  financing activities
Interest paid in relation to lease liabilities 120,221 34,948
Total cash outflows for leases 133,000 124,623

Reconciliation of movements of liabilities to cash flows arising from financing activities
  At 1
January
2019
Acquisition
of new
lease
Net changes
from financing
cash flows
Foreign
exchange
movement
At 31
December
2019
  RM RM RM RM RM
Lease liabilities 75,617 128,734 (120,221) (1,328) 82,802