Press Metal Annual Report 2022

Non-distributable Distributable Total equity Company Note Share capital Reorganisation reserve Hedging reserve Retained earnings RM’000 RM’000 RM’000 RM’000 RM’000 At 1 January 2021 1,088,487 (230,702) 53,181 580,579 1,491,545 Cash flow hedge - - (41,867) - (41,867) Total other comprehensive expense for the year - - (41,867) - (41,867) Profit for the year - - - 55,377 55,377 Total comprehensive income for the year - - (41,867) 55,377 13,510 Contributions by and distributions to owners of the Company Dividends to owners of the Company 27 - - - (272,572) (272,572) Total transactions with owners of the Company - - - (272,572) (272,572) At 31 December 2021/1 January 2022 1,088,487 (230,702) 11,314 363,384 1,232,483 Cash flow hedge - - 167 - 167 Total other comprehensive expense for the year - - 167 - 167 Profit for the year - - - 501,028 501,028 Total comprehensive income for the year - - 167 501,028 501,195 Contributions by and distributions to owners of the Company Dividends to owners of the Company 27 - - - (492,742) (492,742) Issue of ordinary shares 16 964,257 - - - 964,257 Total transactions with owners of the Company 964,257 - - (492,742) 471,515 At 31 December 2022 2,052,744 (230,702) 11,481 371,670 2,205,193 STATEMENT OF CHANGES IN EQUITY For the year ended 31 December 2022 The notes on pages 215 to 311 are an integral part of these financial statements. STATEMENT OF CHANGES IN EQUITY ANNUAL REPORT 2022 208

RkJQdWJsaXNoZXIy NDgzMzc=