AL-SALAM REIT ANNUAL REPORT 2025

SECTION 05 pg. 34 AL-SALĀM REIT FINANCIAL CAPITAL FIVE-YEAR FINANCIAL PERFORMANCE Al-Salām REIT’s capital management strategy emphasises a balance between growth initiatives and disciplined financial policies. By maintaining resilient cash flows and a strong balance sheet, the REIT is wellpositioned to pursue opportunities while safeguarding long-term stability. More importantly, Financial Capital also enables the growth of other Capitals utilised by the REIT. It provides the resources necessary to expand and maintain Portfolio Capital, invest in Human Capital, and drive innovation that strengthens Intellectual Capital. These investments reinforce Social Capital by building stakeholder confidence and contribute to Natural Capital through initiatives that mitigate sustainability-related risks. Financial Capital is a central component of AlSalām REIT’s value creation framework. It comprises funds generated from rental income, property revaluation gains, and financing activities through debt and equity. Effective management of this capital ensures operational resilience and supports portfolio growth, ultimately enabling the REIT to deliver sustainable returns to Unitholders. GROSS REVENUE (RM MILLION) FY2025 88.8 FY2024 78.5 FY2023 76.3 FY2022 71.8 FY2021 71.5 RM88.8 million 13.2% TOTAL ASSET VALUE (RM MILLION) FY2025 1,315.3 FY2024 1,317.3 FY2023 1,316.1 FY2022 1,305.1 FY2021 1,253.5 RM1,315.3 million PROFIT FOR THE YEAR (REALISED) (RM MILLION) FY2025 14.1 FY2024 4.4 FY2023 7.6 FY2022 15.7 FY2021 14.6 RM14.1 million 220.5% ANNUALISED DISTRIBUTION YIELD (%) FY2025 4.49 FY2024 1.87 FY2023 2.53 FY2022 6.76 FY2021 4.74 4.49 % 140.1% ANNUAL TOTAL RETURN (%) FY2025 35.2 FY2024 (19.2) FY2023 31.0 FY2022 (17.0) FY2021 (7.1) 35.2 % 83.3% DISTRIBUTION PER UNIT (SEN) FY2025 2.20 FY2024 0.70 FY2023 1.20 FY2022 2.50 FY2021 2.30 2.20 sen 214.3% (0.2)%

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