Financial Results

2024/2023 Quarterly Financial Highlights 

Updated: 28 August 2023

Click on the relevant quarters column header (eg. Q3) to view the Financial Result Announcements (PDF format).

RM'000 2024 2023
OPERATING REVENUE * Q1 Q4 Q3 Q2 Q1
Construction   307,155 346,041 315,904 338,175 325,197
Property   369,490 612,307 410,902 353,705 366,053
Industry   307,378 253,205 240,093 259,331 250,502
Infrastructure   241,729 264,156 242,297 231,658 228,006
Investment and others   74 82 68 265 86
    1,225,826 1,475,791 1,209,264 1,183,134 1,169,844
PROFIT BEFORE TAX RM'000          
Construction   11,223 38,818 8,261 24,357 19,548
Property   81,188 224,944 78,551 29,330 33,922
Industry   44,433 37,046 33,183 50,602 31,349
Infrastructure   48,426 (150,478) 21,522 (16,607) 2,750
Investment and others   (5,148) 4,920 6,233 1,136 3,641
    180,122 155,250 147,750 88,818 91,210
PROFIT ATTRIBUTABLE TO OWNERS OF THE COMPANY RM'000 100,642 23,050 74,789 27,030 33,406
ISSUED SHARE CAPITAL RM'000 6,132,406 6,132,406 6,132,406 6,132,406 6,132,406
SHAREHOLDERS FUNDS RM'000 9,746,707 9,843,764 9,803,617 9,844,164 9,817,399
TOTAL ASSETS RM'000 20,535,049 20,510,595 20,567,082 20,708,971 20,864,556
EARNINGS PER SHARE (Basic) Sen 2.87 0.66 2.13 1.71 0.95
GROSS DIVIDEND PER SHARE Sen - 6.00 - 2.00 0.00
NET ASSETS PER SHARE ATTRIBUTABLE TO OWNERS OF THE COMPANY RM 2.78 2.80 2.79 2.80 2.78
RETURN ON TOTAL ASSETS (Annualised) % 1.93 0.77 0.87 0.58 0.64
RETURN ON EQUITY (Annualised) % 4.01 1.61 1.83 1.22 1.35

 

Notes:-
* Including share of associate and joint venture turnover.

Financial Highlights For The Financial Year Ended 31 March

Updated: 29 May 2023

RM'000   2023 2022 2021 2020 2019
OPERATING REVENUE *            
Construction   1,325,317 1,676,897 2,050,303 2,292,830 2,325,361
Property development   1,742,967 1,431,432 1,380,371 2,305,120 1,482,011
Industry   1,003,131 861,510 694,592 833,071 886,424
Plantation   - 472,512 935,693 739,133 630,900
Infrastructure   966,117 802,514 798,635 904,058 943,391
Investment and others   501 587 563 860 752
    5,038,033 5,245,452 5,860,157 7,075,072 6,268,839
PROFIT/(LOSS) BEFORE TAXATION RM'000          
Construction   90,984 121,678 137,655 173,199 174,392
Property development   366,747 99,201 176,542 203,261 202,043
Manufacturing and quarrying   152,180 68,500 68,215 44,895 58,993
Plantation   - 782,411 272,129 -50,472 -43,306
Infrastructure   (142,813) 21,644 117,070 153,246 268,251
Investment and others   15,930 6,848 7,944 -6,364 -12,385
    483,028 1,100,282 779,555 517,765 647,988
NET PROFIT ATTRIBUTABLE TO EQUITY HOLDERS RM'000 158,275 794,890 431,678 250,590 418,916
ISSUED SHARE CAPITAL RM'000 6,132,406 6,127,731 6,117,056 6,112,042 6,099,350
SHAREHOLDERS FUNDS RM'000 9,843,764 9,937,547 9,978,535 9,602,366 9,538,652
TOTAL ASSETS RM'000 20,510,595 21,012,048 23,494,181 23,453,267 23,005,974
EARNINGS/(LOSS) PER SHARE (Basic) Sen 4.49 22.19 11.91 6.91 11.56
GROSS DIVIDEND PER SHARE Sen 8.00 21.00 6.00 3.00 4
NET ASSETS PER SHARE RM 2.80 2.81 2.76 2.65 2.63
RETURN ON TOTAL ASSETS % 0.77 3.78 1.84 1.07 1.82
RETURN ON EQUITY % 1.61 8.00 4.33 2.61 4.39
GEARING (Net Debt/Equity) % 25.80 26.37 43.95 48.89 53.51
SHARE PRICE            
High RM 1.92 2.06 2.02 2.51 2.98
Low RM 1.47 1.39 1.20 1.15 1.39
Close RM 1.60 1.67 1.69 1.59 2.22

 

Notes:-
* With the Companies Act 2016 ("New Act") coming into effect on 31 January 2017, the credit standing in the share premium account of RM2,395,511,000 has been transferred into the share capital account. Pursuant to the subsection 618(3) and 618(4) of the New Act, the Group may exercise its right to use the credit amounts being transferred from the share premium account within 24 months after the commencement of the New Act.