The accompanying accounting policies and explanatory notes form an integral part of the financial statements. Group Corporation 2016 2015 2016 2015 RM’000 RM’000 RM’000 RM’000 Profit after taxation 2,793,276 2,535,107 1,996,092 778,691 Other comprehensive income/(loss): Items that may be reclassified subsequently to profit or loss Gain on currency translation 1,612,631 5,774,098 1,106,115 4,755,157 Non-current quoted equity investments - changes in fair value (9,557) 2,167 (9,557) 2,167 Cash flow hedges - fair value (loss)/gain (8,852) 8,314 – – Total other comprehensive income for the year 1,594,222 5,784,579 1,096,558 4,757,324 Total comprehensive income for the year 4,387,498 8,319,686 3,092,650 5,536,015 Total comprehensive income attributable to: Equity holders of the Corporation 4,154,947 8,207,803 3,092,650 5,536,015 Non-controlling interests 232,551 111,883 – – 4,387,498 8,319,686 3,092,650 5,536,015 Financial Statements 163 STATEMENTS OF COMPREHENSIVE INCOME for the year ended 31 december 2016
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