STATEMENTS OF COMPREHENSIVE INCOME FOR THE FINANCIAL YEAR ENDED 31 DECEMBER 2019 Group Company 2019 2018 2019 2018 Note RM'000 RM'000 RM'000 RM'000 Revenue 4 2.361.058 2.217.049 10.047 61.099 Cost of sales (1.620.671! 11,518,432! - - Gross prot 740.387 698.617 10.047 61.099 Other operating income 143.059 122.667 - - Selling and distribution expenses (645.850) (642.803) - - Administrative and other operating expenses (117,333! {94.714} (1.288! 51.022! Prot from operations 5 120,263 83,767 8,759 60,077 Finance costs 7 43,610! [9.908) 13.642! 14.436! Prot before tax 76,653 73,859 5,117 55,641 Income tax (expense)!credit 8 522,569! 122,529} 10 [24! Profit after tax 54,084 51,330 5,127 55,617 Other comprehensive income not to be reclassied to prot or loss in subsequent year: Revaluation of land and buildings 9, 10 1,010 2,513 - - Taxation 26 [193! [2.145) - - Total other comprehensive income (net of taxation} 817 368 - - Total comprehensive income for the nancial year 54 901 51 698 5 127 55 617 llll Prot after tax attributable to: Equity holders of the Company 54,058 51,307 5.127 55.617 Non-controlling interest 26 23 - - 54.084 51.330 5.127 55.617 Total comprehensive income attributable to: Equity holders of the Company 54,875 51.675 5.127 55.617 Non-controlling interest 26 23 - - 54 901 51 698 5127 55 617 llll Basicldiluted earnings per share (sen) 37 4.74 4.57 STATEMENTS OF FINANCIAL POSITION AS AT 31 DECEMBER 2019 Group Note 2019 2018 RM'OOO RM'OOO Assets Non-current assets Property, plant and equipment 9 338,129 323,982 Right-ofuse assets 10(a) 608,530 - Investment property 11 - 400 Intangible assets 12 29,390 34,289 Other investment 14 28,000 1 Sundry receivables 15 14,533 33,695 1,018,582 392,367 Current assets Inventories 16 231,330 224,682 Sundry receivables 15 75,900 59,770 Cash and bank balances 17 96,207 72,548 403,437 357,000 Total assets 1,422,019 749,367 Equity and liabilities Equity attributable to equity holders of the Company Share capital 18 1,485,138 1,485,138 Treasury shares 19 (128,928) (161,941) Capital reorganisation decit 20 (1,343,248) (1,343,248) Assets revaluation reserve 21 41,969 41,152 Retained prots 22 46,985 71,208 101,916 92,309 Non-controlling interest 195 169 Total equity 102,111 92,478 Non-current liabilities Provisions 23 9,804 7,742 Borrowings 24 25,200 44,611 Lease liabilities 10(b) 530,520 - Contract liabilities 28 4,549 1,520 Deferred tax liabilities 26 9,872 18,850 579,945 72,723