Financial Results

2020/2019 Quarterly Financial Highlights 

Updated: 25 February 2020

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

RM'000 2020 2019
OPERATING REVENUE * Q3 Q2 Q1 Q4 Q3
Construction   534,544 665,380 581,236 529,813 561,456
Property   348,494 405,838 498,556 378,047 490,603
Industry   193,424 228,619 232,119 213,030 219,997
Plantation   237,812 172,861 133,067 164,802 142,869
Infrastructure   226,414 233,624 270,850 262,287 243,536
Investment and others   167 381 160 182 156
    1,540,855 1,706,703 1,715,988 1,548,161 1,658,617
PROFIT BEFORE TAX RM'000          
Construction   28,454 38,494 40,622 61,946 34,247
Property   63,515 37,200 45,853 70,020 65,202
Industry   13,132 17,923 15,178 14,814 14,952
Plantation   33,303 -4,954 -5,383 16,722 -2,010
Infrastructure   27,523 35,235 44,408 171,438 63,421
Investment and others   -2,339 -9,687 2,722 -3,318 1,494
    163,588 114,211 143,400 331,622 177,306
PROFIT ATTRIBUTABLE TO OWNERS OF THE COMPANY RM'000 49,767 70,102 59,424 240,811 93,423
ISSUED SHARE CAPITAL RM'000 6,112,021 6,112,021 6,111,955 6,099,350 6,099,350
SHAREHOLDERS FUNDS RM'000 9,595,855 9,620,997 9,562,366 9,538,652 9,300,331
TOTAL ASSETS RM'000 24,173,695 23,670,631 23,621,548 23,005,974 22,055,706
EARNINGS PER SHARE (Basic) Sen 1.37 1.93 1.64 6.64 2.57
GROSS DIVIDEND PER SHARE Sen 0.00 2.00 0.00 2.00 0.00
NET ASSETS PER SHARE ATTRIBUTABLE TO OWNERS OF THE COMPANY RM 2.64 2.65 2.63 2.63 2.57
RETURN ON TOTAL ASSETS (Annualised) % 0.99 1.09 1.00 1.82 1.07
RETURN ON EQUITY (Annualised) % 2.48 2.66 2.44 4.39 2.54

 

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

Financial Highlights For The Financial Year Ended 31 March

Updated: 29 May 2019

RM'000   2019 2018 2017 2016 2015
OPERATING REVENUE *            
Construction   2,325,361 2,674,392 2,532,146 1,642,997 1,224,314
Property development   1,482,011 1,323,504 1,516,225 1,289,966 2,203,422
Industry   886,424 1,057,097 1,136,614 982,769 926,767
Plantation   630,900 747,217 753,711 557,613 667,666
Infrastructure   943,391 1,001,873 975,515 1,295,014 1,031,410
Investment and others   752 2,830 3,528 14,493 10,113
    6,268,839 6,806,913 6,917,739 5,782,852 6,063,692
PROFIT/(LOSS) BEFORE TAXATION RM'000          
Construction   174,392 226,014 216,715 170,569 184,844
Property development   202,043 110,559 303,277 159,288 494,660
Manufacturing and quarrying   58,993 82,479 142,417 124,090 125,601
Plantation   -43,306 77,304 168,514 50,408 89,409
Infrastructure   268,251 120,115 62,313 555,773 42,276
Investment and others   -12,385 13,088 116,774 95,669 82,567
    647,988 629,559 1,010,010 1,155,797 1,019,357
NET PROFIT ATTRIBUTABLE TO EQUITY HOLDERS RM'000 418,916 349,809 653,773 793,587 480,944
ISSUED SHARE CAPITAL RM'000 6,099,350 6,074,349 ***6,022,651 3,584,805 1,500,001
SHAREHOLDERS FUNDS RM'000 9,538,652 9,488,912 9,497,274 9,028,359 8,429,640
TOTAL ASSETS RM'000 23,005,974 21,294,760 20,892,700 19,835,545 19,730,689
EARNINGS/(LOSS) PER SHARE (Basic) Sen 11.56 9.65 18.16 22.22 32.63
GROSS DIVIDEND PER SHARE Sen 4 6 7.5 10 15
NET ASSETS PER SHARE RM 2.63 2.62 2.63 2.52 5.62
RETURN ON TOTAL ASSETS % 1.82 1.64 3.13 4 2.44
RETURN ON EQUITY % 4.39 3.69 6.88 8.79 5.71
GEARING (Net Debt/Equity) % 53.51 46.86 40.6 46.13 50.34
SHARE PRICE            
High RM 2.98 3.6 3.64 7.5 7.3
Low RM 1.39 2.55 3.07 2.87** 6.09
Close RM 2.22 2.68 3.4 3.53** 7.2
WARRANT PRICE 2009/2014            
High RM N/A N/A N/A N/A 2.81
Low RM N/A N/A N/A N/A 1.94
Close RM N/A N/A N/A N/A 2.39

 

Notes:-
* Including share of associate and joint venture turnover.
** After 1:1 Bonus Issue in September 2015.
*** 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.