Financial Year Ended 31 December 2025 2024 2023 2022 2021
  12 months
Actual
(Audited)
12 months
Actual
(Audited)
12 months
Actual
(Audited)
12 months
Actual
(Audited)
12 months
Actual
(Audited)
Presented in RM'000          
Continuing Operations          
 
Revenue 217,130 237,139 126,414 141,760 149,186
Operating costs (215,281) (204,900) (113,062) (103,282) (103,549)
Impairment - - - - -
Fair value loss - - - - -
(Allowance)/Reversal of expected credit loss - - (258,220) (32,615) (9,597)
Results from operations 1,849 32,239 (244,868) 5,863 36,040
Interest income 2,659 1,386 238 65 86
Finance costs (635) (1,054) (21,452) (18,017) (15,323)
Share of results of joint ventures 3,038 1,427 2,811 4,412 (2,528)
Share of results of associates - - - - -
Fair value gain on financial assets at fair value through profit or loss ("FVTPL") - (14,821) 6,965 - -
Profit/(Loss) before taxation 6,911 19,177 (256,306) (7,677) 18,275
Income tax benefit/(expense) (6,529) (11,611) (9,624) (12,247) (3,083)
Profit/(Loss) for the year/period 382 7,566 (265,930) (19,924) 15,192
 
Profit/(Loss) attributable to:
Shareholders of the Company 382 7,566 (265,930) (19,924) 15,192
Non-controlling interests - - - - -
Profit/(Loss) for the year/period 382 7,566 (265,930) (19,924) 15,192
 
Basic/diluted Earnings/(Loss) per share (sen) 0.07 1.22 (105.93) (8.02) 6.11
Total 0.07 1.22 (105.93) (8.02) 6.11