Financial Year Ended 31 December / 31 May 2025 2023 2022 2021 2020
  17 months
Audited
12 months
Audited
12 months
Audited
12 months
Audited
12 months
Audited
 
Key Financial Data          
Revenue (RM'000) 795,971 203,051 141,741 165,983 273,388
Gross Profit/(Loss) (GP/(GL)) (RM'000) 29,877 (7,353) (7,643) 15,371 19,989
Earnings/(Loss) Before Interest, Tax, Depreciation & Amortisation (EBITDA) (RM'000) (14,649) (18,437) (18,726) 10,700 18,302
Profit/(Loss) Before Taxation (PBT/(LBT)) (RM'000) (49,189) (22,743) (21,804) 8,065 15,455
Profit/(Loss) After Taxation (PAT/(LAT)) (RM'000) (55,519) (22,650) (19,269) 5,376 11,043
Profit/(Loss) Attributable to Owners of the Company (RM'000) (55,641) (22,650) (19,269) 5,376 11,022
Total Assets (RM'000) 691,828 160,320 179,144 142,584 166,139
Shareholders' Equity (RM'000) 102,074 43,489 54,439 38,095 36,719
Cash and Cash Equivalents (RM'000) 71,451 18,894 31,441 10,702 13,379
Key Ratios          
GP/(GL) Margin (%) 3.75 (3.62) (5.39) 9.26 7.31
PBT/(LBT) Margin (%) (6.18) (11.20) (15.38) 4.86 5.65
PAT/(LAT) Margin (%) (6.98) (11.15) (13.59) 3.24 4.04
Basic Earnings/(Loss) Per Share (EPS)(1) (sen) (4.53) (4.61) (4.10) 31.43 64.44
Diluted EPS(2) (sen) (4.53) (4.61) (4.10) 31.43(4) 64.44(4)
Average Trade Receivables Turnover(3) (days) 65 73 103 92 70
Average Trade Payables Turnover(4) (days) 133 98 128 169 101
Current Ratio(5) (times) 1.02 1.17 1.51 1.42 1.26
Gearing Ratio(6) (times) 2.08 0.66 0.81 0.58 0.34

Notes:

(1) Calculated based on PAT attributable to owners of the Company divided by 367,225,083 enlarged number of Shares in issue before IPO.

(2) Calculated based on PAT attributable to owners of the Company divided by 489,634,083 enlarged number of Shares in issue after IPO.

(3) Computed based on average opening and closing trade receivables (excluding retention sum) over revenue for the year multiplied by 365 days

(4) Computed based on average opening and closing trade payables (excluding retention sum) over costs of sales for the year multiplied by 365 days.

(5) Computed based on current assets over current liabilities as at each financial year/period end.

(6) Computed based on total borrowings over total equity as at each financial year/period end.