Financial Year Ended 31 December 2025 2024 2023 2022 2021
  12 months
Audited
12 months
Audited
12 months
Audited
12 months
Audited
12 months
Audited
KEY FINANCIAL DATA
STATEMENT OF COMPREHENSIVE INCOME (in RM mil)
Revenue 11,146.1 13,237.5 14,271.7 13,867.0 10,671.7
Operating Profit 2,776.5 2,593.7 2,881.4 3,102.0 1,948.3
Profit/(Loss) Before Taxation 1,862.0 1,283.5 2,093.7 1,874.3 1,774.6
Profit/(Loss) After Taxation 1,738.1 1,233.2 1,958.9 1,835.0 1,733.5
Profit/(Loss) Attributable to Equity Holders of the Corporation 1,700.2 1,193.5 2,123.5 1,822.9 1,831.3
 
STATEMENT OF FINANCIAL POSITION (in RM mil)
Share Capital 8,923.3 8,923.3 8,923.3 8,923.3 8,923.3
Total Assets 53,014.4 60,435.1 65,060.1 62,664.2 57,521.5
Total Liabilities 18,309.9 22,121.7 25,094.3 24,360.2 22,596.5
Equity Attributable to Equity Holders of the Corporation 34,007.4 37,604.0 39,285.8 37,458.7 34,162.7
Total Borrowings 12,880.3 15,494.3 17,545.0 17,861.5 17,029.0
 
STATEMENT OF CASH FLOW (in RM mil)
Net Operating Cash Flows 5,656.1 4,276.8 5,696.3 3,042.1 2,908.6
Cash And Cash Equivalents 4,833.7 5,310.0 6,545.2 6,406.1 6,994.3
 
RATIO ANALYSIS
PER SHARE DATA (in sen)
Earnings/(Loss) Per Share (EPS) (1) 38.10 26.70 47.60 40.80 41.00
Net Assets Per Share 777.5 858.3 895.3 858.1 782.4
Net Tangible Assets Per Share 758.6 837.7 874.1 835.7 758.6
 
PROFITABILITY (in %)
PBT/(LBT) Margin 16.7 9.7 14.7 13.5 16.6
PAT/(LAT)Margin 15.6 9.3 13.7 13.2 16.2
 
GEARING (in times)
Gross Debt/Equity Ratio 0.37 0.40 0.44 0.47 0.49
Net Debt/Equity Ratio 0.20 0.23 0.25 0.28 0.26
 
VALUATION (in RM mil)
Market Capitalisation 34,817.6 33,924.8 32,541.1 33,478.4 31,469.7
 

Note:

(1) EPS has been calculated using the weighted average number of ordinary shares in issue during the financial years/period.