Financial Year Ended 31 December 2025 2024 2023 2022 2021
  9 months
(Unaudited)
12 months
(Audited)
12 months
(Audited)
12 months
(Audited)
12 months
(Audited)
         
Revenue 664,688 1,360,432 1,213,822 580,853 377,509
Other operating income 1,753 5,742 3,107 9,216 563,857
Finished goods purchased - - - (6,235) (1,968)
Raw materials and consumables used -   (334,453) (447,896) (117,451) (50,529)
Employee benefits -   (269,024) (200,537) (141,574) (117,049)
Depreciation and amortisation -   (245,667) (201,939) (167,928) (157,013)
Reversal of/(allowance for) impairment losses -   (1,525) 709 (2,729) 359
Other operating expenses (471,422) (221,548) (204,223) (207,688) (660,145)
Profit/(Loss) From Operations 195,019 293,957 163,043 (53,536) (44,979)
Finance costs (6,449) (34,025) (46,040) (31,836) (40,268)
Investment income 4,347 6,884 4,132 3,447 2,395
Share of result of associate 155 212 93 155 153
Profit/(Loss) Before Tax 193,072 267,028 121,228 (81,770) (82,699)
Income tax expensses (39,871) (59,322) (21,703) (18,632) (8,125)
Profit/(Loss) Net of Tax for the Year 153,201 207,706 99,525 (100,402) (90,824)
 
Other comprehensive income/(loss):
Foreign currency translation (141,160) (75,473) 93,426 124,846 76,014
Other comprehensive income/(loss) that may be reclassified to profit or loss in subsequent periods, net of tax: (141,160) (75,473) 93,426 124,846 76,014
Total Comprehensive Income/(Loss) for the Year 12,041 132,233 192,951 24,444 (14,810)
 
Profit/(Loss) Attributable to:
Equity holders of the Company 153,201 207,706 99,525 (100,402) (90,824)
Non-controlling interests - - - - -
153,201 207,706 99,525 (100,402) (90,824)
 
Total Comprehensive Income/(Loss) Attributable to:
Equity holders of the Company 12,041 132,233 192,951 24,444 (14,810)
Non-controlling interests - - - - -
12,041 132,233 192,951 24,444 (14,810)
 
(Loss)/Earnings per share attributable to equity holders of the Company
- Basic (sen) 1.86 2.53 1.21 (1.22) (1.11)
- Diluted (sen) 1.86 2.53 1.21 (1.22) (1.11)