Tropicana Corporation Berhad Annual Report 2025

6. OTHER INCOME Group Company 2025 RM’000 2024 RM’000 2025 RM’000 2024 RM’000 Reversal of impairment loss on trade and other receivables 1,770 3,711 - - Reversal of inventories written down 7,779 3,653 - - Management fees 10,050 41,751 - - Rental income 7,266 6,580 - - Late payment interest 475 303 - - Gain on disposal of: - property, plant and equipment 333 - 3 - - assets classified as held for sale: - investment in an associate - 161,765 - - - property, plant and equipment - 23,022 - - - investment properties 8,743 - - - - right-of-use assets 534 68 - - Fair value gain on investment properties, net (Note 17) - 25,201 - - Fair value gain on quoted shares - 31,276 - - Forfeiture of deposits 3,621 2,655 - - Waiver of debt from a related party (Note 35(b)) - 13,951 - 906 Realised foreign exchange gain, net 79 - 15 - Unrealised foreign exchange gain, net 6,608 2,670 - - Dividend income from other investments 561 1,282 - - Others 2,692 3,530 - 94 50,511 321,418 18 1,000 7. FINANCE INCOME Group Company 2025 RM’000 2024 RM’000 2025 RM’000 2024 RM’000 Finance income from: - deposits with licensed banks 2,049 1,553 101 151 - Housing Development Accounts 2,639 3,883 - - - amounts due from subsidiaries (Note 35(a)) - - 101,387 99,871 - others 3,599 1,942 610 81 8,287 7,378 102,098 100,103 279

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