Financial Year Ended 31 December 2024 2023 2022 2021 2020
  12 months
(Audited)
12 months
(Audited)
12 months
(Audited)
12 months
(Audited)
12 months
(Audited)
Key Financials
Revenue (RM'000) 392,874 374,481 261,591 204,047 242,643
Profit Before Taxation (PBT) (RM'000) 1,493 (31,745) (2,067)
7351(3) 23,148
Profit After Taxation (PAT) (RM'000) 1,484 (32,885) (3,397) 2,473 16,169
Financial Position
Total Assets (RM'000) 242,538 246,390 226,187 181,711 180,092
Total Borrowings (RM'000) 37,517 52,667 43,547 25,683 21,664
Total Equity (RM'000) 80,327 57,650 83,301 86,222 74,787
Cash and Cash Equivalents (RM'000) 13,097(4) 5,049(4) 16,577(4) 31,921 48,105
 
Key Ratios
PAT Margin (%) 0.38 (8.78) (1.30) 1.21 6.66
Basic Earnings Per Share (1) (sen) 0.28 (7.73) (0.87) 0.67 4.49
Gearing Ratio (times) 0.47 0.91 0.52 0.30 0.29
Net Assets per Share (2) (sen) 15.66 13.57 21.36 22.11 20.77

Notes:

(1) Calculated based on PAT/(LAT) over the issued share capital of 512,811,980 (2023: 424,895,181; 2022:390,000,000; 2021: 390,000,000; 2020: 360,000,000) shares.
(2) Calculated based on Total Equity over the issued share capital of 512,811,980 (2023: 424,895,181; 2022:390,000,000; 2021: 390,000,000; 2020: 360,000,000) shares.
(3) Adjusted for one-off impairment of financial assets amounting to RM4.135 million.
(4) Adjusted for bank overdraft amounting to RM0.754 million (2023: 9.568 million; 2022: 11.499 million).