Financial Year Ended 31 December 2025 2024 2023 2022 2021
  12 months
(Audited)
12 months
(Audited)
12 months
(Audited)
12 months
(Actual)
12 months
(Actual)
Presented in RM'000          
Revenue 674,286 545,698 399,392 451,653 547,484
Cost of sales (375,859) (350,484) (225,724) (238,291) (298,917)
Gross profit 298,427 195,214 173,668 213,362 248,567
Fair value adjustment on investment properties 169,225 44,235 39,359 (4,244) 92,373
Fair value gain on non-cash distribution - - - - -
Other income 418,158 383,102 354,279 247,422 164,085
Impairment (losses)/gain of financial assets (3,352) 668 5,389 2,793 (6,144)
Impairment losses of non-financial assets 8,306 1,525 21,629 4,013 (55,530)
Inventories written down (7294) 896 (2,523) (3,899) (4,004)
General and administrative expenses (203,676) (187,962) (192,414) (146,790) (109,619)
Other expenses (90,323) (91,618) (76,124) (55,175) (43,925)
Finance income 47,750 47,657 45,266 29,879 31,364
Finance costs (170) (210) (131) (148) (475)
Share of results of associate company - - - - -
 
Profit Before Taxation (PBT) 637,051 393,507 368,398 287,213 316,692
Tax expense (136,337) (98,767) (81,992) (64,453) (88,348)
 
Profit After Taxation (PAT) 500,714 294,740 286,406 222,760 228,344
 
Other comprehensive income, net of tax          
Fair value gain/(loss) on remeasuring of financial assets          
- Gain/(Loss) on fair value changes (7,985) (10,424) 1,363 (7,100) 4,555
- Transfer to profit or loss upon disposal - - - - -
 
Total Comprehensive Income for the year / period 492,729 284,316 287,769 215,660 232,899
 
Profit attributable to:          
Owners of the Company (RM) 474,042 287,303 279,551 219,937 222,447
Non-controlling interests (RM) 26,672 7,437 6,855 2,823 5,897
  500,714 294,740 286,406 222,760 228,344
 
Total comprehensive income attributable to:          
Owners of the Company (RM) 466,057 276,879 280,914 212,837 227,002
Non-controlling interests (RM) 26,672 7,437 6,855 2,823 5,897
  492,729 284,316 287,769 215,660 232,899