Share Capital Treasury shares Nondistributable Employee Share Option Reserve Distributable Retained Profits Total Equity Note RM’000 RM’000 RM’000 RM’000 RM’000 The Company At 1.1.2024 125,260 - - 57,952 183,212 Profit after taxation/Total comprehensive income for the financial year - - - 34,303 34,303 Issuance of shares 16 269,064 - - - 269,064 Share issuance expenses 16 (6,008) - - - (6,008) Share options to employees - - 8,657 - 8,657 Employees’ share options exercised 16 4,852 - (2,020) - 2,832 Dividends 30(a) - - - (79,242) (79,242) Total contributions by and distributions to owners 267,908 - 6,637 (79,242) 195,303 Balance at 31.12.2024/1.1.2025 393,168 - 6,637 13,013 412,818 Profit after taxation/Total comprehensive income for the financial year - - - 355,998 355,998 Share options to employees - - 5,162 - 5,162 Employees’ share options exercised 16 7,292 - (3,035) - 4,257 Purchase of treasury shares 17 - (2,835) - - (2,835) Dividends 30(a) - - - (72,489) (72,489) Total contributions by and distributions to owners 7,292 (2,835) 2,127 (72,489) (65,905) Balance at 31.12.2025 400,460 (2,835) 8,764 296,522 702,911 The annexed notes form an integral part of these financial statements. 165 Annual Report 2025
RkJQdWJsaXNoZXIy NDgzMzc=