NOTES TO THE FINANCIAL STATEMENTS
For The Financial Period From 1 January 2014 To 31 March 2015 (Cont’d)
108
Annual Report 2015
42. OPERATING SEGMENTS (CONT’D)
BUSINESS SEGMENTS
CSCS
IH
Group
RM’000
RM’000
RM’000
1.1.2013 to 31.12.2013
Revenue
External revenue
260,741
–
260,741
Inter–segment revenue
208,807
24,925
233,732
469,548
24,925
494,473
Consolidation adjustments and eliminations
(233,732)
Consolidated revenue
260,741
Results
Segment results
142,869
24,925
167,794
Consolidation adjustments and eliminations
(9,425)
–
(9,425)
133,444
24,925
158,369
Gain on disposal of assets held for sale
2,477
–
2,477
Interest income
125
676
801
Depreciation of property, plant and equipment
(16,343)
(396)
(16,739)
Finance costs
(7,218)
(4)
(7,222)
Impairment of inventories
(3,600)
–
(3,600)
Impairment of development expenditures
(1,222)
–
(1,222)
Other material items of expenses (Note 42 (a))
(30,069)
(9,051)
(39,120)
77,594
16,150
93,744
Income tax expense
(11,845)
Consolidated profit after taxation
81,899