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Date | Financial Year | Quarter | Revenue (RM,000) | PBT (RM,000) | Net Profit (RM,000) | EPS (Cent) | Div (Cent) | NTA (RM) | QoQ (%) | YoY (%) |
30 Aug 23 | 31 Dec 23 | Q2 Jun 23 | 5,333,953 | 2,481,513 | 1,773,088 | 16.63 | 17.50 | 6.282 |
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31 May 23 | 31 Dec 23 | Q1 Mar 23 | 4,997,245 | 2,236,389 | 1,644,910 | 15.42 | 0.00 | 6.125 |
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28 Feb 23 | 31 Dec 22 | Q4 Dec 22 | 5,219,663 | 2,016,629 | 1,324,952 | 12.49 | 13.00 | 5.859 |
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30 Nov 22 | 31 Dec 22 | Q3 Sep 22 | 4,997,115 | 2,201,877 | 1,407,232 | 13.43 | 0.00 | 5.906 |
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30 Aug 22 | 31 Dec 22 | Q2 Jun 22 | 4,884,369 | 2,104,838 | 1,280,695 | 12.30 | 13.00 | 5.759 |
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31 May 22 | 31 Dec 22 | Q1 Mar 22 | 4,736,369 | 2,047,666 | 1,426,984 | 13.96 | 0.00 | 5.849 |
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28 Feb 22 | 31 Dec 21 | Q4 Dec 21 | 4,586,663 | 981,249 | 854,511 | 8.37 | 12.55 | 5.759 |
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01 Dec 21 | 31 Dec 21 | Q3 Sep 21 | 4,395,755 | 332,794 | -100,593 | -1.07 | 0.00 | 5.820 |
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30 Aug 21 | 31 Dec 21 | Q2 Jun 21 | 4,670,629 | 1,577,696 | 1,084,183 | 10.80 | 10.44 | 5.843 |
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31 May 21 | 31 Dec 21 | Q1 Mar 21 | 5,956,665 | 2,897,739 | 2,457,233 | 24.76 | 0.00 | 5.782 |
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26 Feb 21 | 31 Dec 20 | Q4 Dec 20 | 4,716,038 | 165,982 | 214,976 | 2.17 | 4.81 | 5.636 |
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27 Nov 20 | 31 Dec 20 | Q3 Sep 20 | 4,464,614 | 453,998 | 194,444 | 1.96 | 0.00 | 5.550 |
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Revenue - Record-high quarterly revenue |
Net Profit - Record-high quarterly profit after tax |
Total Shares (Quantity) |
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Name | % | Shares | Position Change | Value | Record Date |
KHAZANAH NASIONAL BERHAD | 24.06 | 2,566,306,861 | -62,452,782 | 14.24B | 01 Mar 23 |
EMPLOYEES PROVIDENT FUND BOARD | 12.26 | 1,306,915,963 | -150,648,052 | 7.25B | 01 Mar 23 |
KUMPULAN WANG PERSARAAN | 6.22 | 663,586,541 | 30,328,569 | 3.68B | 01 Mar 23 |
AMANAH SAHAM BUMIPUTERA | 5.52 | 588,217,793 | 1,854,546 | 3.26B | 01 Mar 23 |
AMANAH SAHAM MALAYSIA 2 WAWASAN | 2.10 | 223,614,587 | - | 1.24B | 01 Mar 23 |

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Dividend Summary |
Dividend Growth (%) |
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Dividend Increasing (Years) |
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Dividend Continuously (Years) |
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Date | Ex-Date | Entitlement Date | Transfer Date | Type | Ratio | Right Issue Price | Details |
27 Jul 16 | 05 Aug 16 | 09 Aug 16 | 09 Aug 16 | Dividend in specie | 1 : 6.39 | 0.000 |
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07 May 10 | 19 May 10 | 21 May 10 | 21 May 10 | Bonus Issue | 1 : 1 | 0.000 |
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11 Jan 06 | 26 Jan 06 | 03 Feb 06 | 03 Feb 06 | Others | 0 : 0 | 0.000 |
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P/E Ratio |
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