Group Financial Performance

Year 2019 2020 2021 2022 2023
Revenue (RM'000) 534,257 197,083 268,678 402,202 506,199
Profit after taxation attributable to owners of the Company (RM'000) 135,465 29,096 21,379 16,551 13,127
Total Borrowings (RM'000) 183,398 251,276 530,037 493,734 642,885
Equity attributable to owners of the Company (RM'000) 999,570 1,028,666 1,030,186 1,048,306 1,,061,394
Gearing Ratio (times) 0.18 0.24 0.51 0.47 0.61
Basic Earning Per Share (sen)* 16.08 3.25 2.39 1.85 1.47
Net Asset Per Share (RM)** 1.12 1.15 1.15 1.17 1.18
No. of shares ("000") 895,917 895,917 895,917 895,917 895,917

*Based on weighted average number of shares issued during the period/year.

**Based on number of shares issued as at end of financial year.

Segment Revenue

Year 2019 2020 2021 2022 2023
Property Development 532,439 193,798 263,465 399,748 504,246
Constructions 245 949 2,886 551 1,052
Healthcare - - 852 791 -
Investment Holdings and Others 1,573 2,336 1,475 1,112 901
  534,257 197,083 268,678 402,202 506,199