Our Investment case Our Leadership Statement ANNUAL REPORT 2023 90 Prologue FINANCIAL REVIEW CONSOLIDATED STATEMENT OF PROFIT OR LOSS For the financial years ended 31 December In RM Million 2023 2022 2021 2020 2019 Revenue 4,914.2 3,127.0 1,673.0 1,866.3 5,213.1 Profit/(Loss) before tax and zakat 506.1 184.6 (1,040.9) (1,763.9) 659.2 Taxation and zakat 37.1 2.6 274.5 647.7 (122.1) Profit/(Loss) for the year 543.2 187.2 (766.4) (1,116.2) 537.0 Profit/(Loss) attributable to: Owners of the Company 543.2 187.2 (766.4) (1,116.2) 537.0 Profit/(Loss) for the year 543.2 187.2 (766.4) (1,116.2) 537.0 Earnings per share attributable to equity holders of the Company (sen) Basic, for profit/(loss) for the year 29.17 7.82 (49.66) (70.75) 28.90 CONSOLIDATED STATEMENT OF FINANCIAL POSITION For the financial years ended 31 December In RM Million 2023 2022 2021 2020 2019 ASSETS Non-current assets 17,145.4 16,865.0 17,348.0 17,856.5 17,781.7 Current assets 3,309.6 2,585.0 2,814.6 2,422.4 4,401.0 Total assets 20,455.0 19,450.0 20,162.6 20,278.9 22,182.7 EQUITY Share capital 5,170.7 5,114.3 5,114.3 5,114.3 5,114.3 Perpetual sukuk 997.8 997.8 997.8 997.8 997.8 Retained earnings 1,671.4 1,250.7 1,121.0 1,944.9 3,284.7 Hedging reserve 16.9 32.6 (19.7) (36.2) (18.0) Foreign exchange reserve 139.7 24.7 30.9 74.4 (54.2) Other reserves 3.6 6.2 8.2 4.1 0.8 Total equity 8,000.2 7,426.3 7,252.5 8,099.3 9,325.4 Non-current liabilities 8,542.4 9,166.3 9,770.8 10,701.8 9,568.2 Current liabilities 3,912.4 2,857.4 3,139.2 1,477.7 3,289.1 Total liabilities 12,454.8 12,023.7 12,910.0 12,179.6 12,857.3 Total equity and liabilities 20,455.0 19,450.0 20,162.6 20,278.9 22,182.7 Net asset per share (RM) 4.81 4.48 4.37 4.88 5.62 GROUP FIVE-YEAR SUMMARY
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