Revenue
RM('000)
Year
Profit/(Loss) Before Taxation
RM('000)
Year
  2023 RM'000 |
  2022 RM'000 |
  2021 RM'000 |
  2020 RM'000 |
  2019 RM'000 |
|
---|---|---|---|---|---|
Revenue | 75,446 | 83,849 | 103,174 | 97,120 | 113,000 |
Profit/(Loss) Before Taxation | 3,373 | (6,692) | (1,088) | (10,349) | (25,939) |
Profit/(Loss) After Taxation Attributed to Shareholders | 3,391 | (5,143) | (239) | (7,837) | (18,028) |
Shareholders' Funds | 119,484 | 116,093 | 121,236 | 121,475 | 129,312 |
Total Asset Employed | 191,558 | 186,426 | 198,095 | 200,357 | 208,765 |
Profit/(Loss) After Taxation as a Percentage of Shareholders' Fund (%) | 2.84 | (4.43) | (0.20) | (6.5) | (13.9) |
Basic/Diluted Earnings/(Loss) Per Share (sen) | 3.30 | (5.00) | (0.23) | (7.62) | (17.53) |
Net Assets Per Share (RM) | 1.16 | 1.13 | 1.18 | 1.18 | 1.26 |
No. of Shares in Issue (Net of Treasury Shares) | 102,830 | 102,830 | 102,830 | 102,830 | 102,830 |
  2023 RM'000 |
  2022 RM'000 |
  % Change |
||
---|---|---|---|---|
INCOME STATEMENT | Revenue
Profit/(Loss) Before Taxation Profit/(Loss) After Taxation Attributed to Shareholders |
75,446
3,373 3,391 |
83,849
(6,692) (5,143) |
(10.02)
* * |
BALANCE SHEET | Shareholders' Funds
Total Assets Employed |
119,484
191,558 |
116,093
186,426 |
2.92
2.75 |
RATIOS | Current Ratio (times)
Return On Equity (%) Return On Total Assets (%) Financial Leverage Ratio (times) Basic/Diluted Earnings/(Loss) Per Share (sen) Net Tangible Assets Per Share (RM) |
1.45
2.84 1.77 0.38 3.30 1.16 |
1.39
(4.43) (2.76) 0.41 (5.00) 1.13 |
4.32
* * (7.32) * 2.65 |
Closing Price for 31st March (RM) | 0.310 | 0.295 | 5.08 |