Financial Highlights

Updated: 26 Feb 2026
RM’000 2026
2025
Operating Revenue* Q3 Q2 Q1 Q4 Q3
Construction 859,383 825,120 968,748 841,858 562,083
Property 252,886 329,277 240,869 410,421 540,562
Industry 303,245 309,945 311,794 277,346 242,245
Infrastructure – Toll 96,143 102,955 102,831 130,640 98,192
Infrastructure – Port 85,613 96,434 101,397 121,936 89,347
Investment and others 7,879 10,489 7,712 9,337 7,398
1,605,149 1,674,220 1,733,351 1,791,538 1,539,827
Profit/(Loss) Before Taxation RM’000          
Construction 42,510 37,329 34,569 41,400 19,420
Property (41,963) 7,092 27,199 118,621 170,569
Industry 47,159 52,509 54,300 55,148 43,710
Infrastructure – Toll 26,780 9,595 20,988 (859) (12,702)
Infrastructure – Port 13,257 18,011 28,190 31,457 17,015
Investment and others (7,041) (3,750) (12,518) 11,616 (9,664)
80,702 120,786 152,728 257,383 228,348
PROFIT ATTRIBUTABLE TO OWNERS OF THE COMPANY RM’000 15,755 65,782 95,603 128,950 113,335
ISSUED SHARE CAPITAL RM’000 6,132,406 6,132,406 6,132,406 6,132,406 6,132,406
SHAREHOLDERS FUNDS RM’000 10,134,878 10,201,278 10,141,752 10,276,261 10,165,827
TOTAL ASSETS RM’000 22,814,664 22,089,740 22,318,320 21,769,331 20,627,679
EARNINGS/(LOSS) PER SHARE (Basic) Sen 0.45 1.88 2.73 3.68 3.23
GROSS DIVIDEND PER SHARE Sen 2.00 6.00
NET ASSETS PER SHARE ATTRIBUTABLE TO OWNERS OF THE COMPANY RM 2.89 2.91 2.89 2.93 2.90
RETURN ON TOTAL ASSETS (Annualised) % 1.03 1.45 1.69 1.85 1.77
RETURN ON EQUITY (Annualised) % 2.32 3.11 3.67 3.93 3.57
*

Including share of associate and joint venture turnover.

Updated: 29 May 2025
RM’000 2025 2024 2023 2022 2021
Operating Revenue*
Construction 2,567,784 1,675,559 1,325,317 1,676,897 2,050,303
Property 1,698,721 2,029,273 1,742,967 1,431,432 1,380,371
Industry 1,054,725 1,191,956 1,003,131 861,510 694,592
Plantation 472,512 935,693
Infrastructure – Toll 449,456 519,552 633,072 436,741 393,215
Infrastructure – Port 450,901 467,014 333,045 365,773 405,420
Investment and others 30,402 35,460 501 587 563
6,251,989 5,918,814 5,038,033 5,245,452 5,860,157
Profit/(Loss) Before Taxation RM’000          
Construction 113,129 36,809 90,984 121,678 137,655
Property 359,336 390,966 366,747 99,201 176,542
Manufacturing and quarrying 190,729 181,789 152,180 68,500 68,215
Plantation 782,411 272,129
Infrastructure – Toll (86) 128,308 (176,976) (77,535) 18,737
Infrastructure – Port 125,527 151,387 34,163 99,179 98,333
Investment and others 2,429 74,910 15,930 6,848 7,944
791,064 964,169 483,028 1,100,282 779,555
NET PROFIT ATTRIBUTABLE TO EQUITY HOLDERS RM’000 403,377 600,278 158,275 794,890 431,678
ISSUED SHARE CAPITAL RM’000 6,132,406 6,132,406 6,132,406 6,127,731 6,117,056
SHAREHOLDERS FUNDS RM’000 10,276,261 10,216,514 9,843,764 9,937,547 9,978,535
TOTAL ASSETS RM’000 21,769,331 21,315,323 20,510,595 21,012,048 23,494,181
EARNINGS/(LOSS) PER SHARE (Basic) Sen 11.50 17.11 4.49 22.19 11.91
GROSS DIVIDEND PER SHARE Sen 8.00 8.00 8.00 21.00 6.00
NET ASSETS PER SHARE RM 2.93 2.91 2.80 2.81 2.76
RETURN ON TOTAL ASSETS % 1.85 2.82 0.77 3.78 1.84
RETURN ON EQUITY % 3.93 5.88 1.61 8.00 4.33
GEARING (Net Debt/Equity) % 32.58 26.10 25.80 26.37 43.95
SHARE PRICE
High RM 3.76 2.47 1.92 2.06 2.02
Low RM 1.86 1.43 1.47 1.39 1.20
Close RM 2.10 2.43 1.60 1.67 1.69
*

With the Companies Act 2016 (“New Act”) coming into effect on 31 January 2017, the credit standing in the share premium account of RM2,395,511,000 has been transferred into the share capital account. Pursuant to the subsection 618(3) and 618(4) of the New Act, the Group may exercise its right to use the credit amounts being transferred from the share premium account within 24 months after the commencement of the New Act.