Financial Year Ended 31 December 2025 2024 2023 2022 2021
  12 months
(Unaudited)
12 months
(Audited)
12 months
(Audited)
(Restated)
12 months
(Audited)
12 months
(Audited)
Presented in RM'000          
Revenue 430,524 687,152 430,451 236,204 139,756
Cost of sales (245,706) (345,194) (244,949) (146,632) (97,170)
Gross profit 184,818 341,958 185,502 89,572 42,586
Other income 47,506 3,158 1,592 9,000 1,796
  232,324 345,116 187,094 98,572 44,382
Administrative expenses (30,504) (29,695) (19,396) (14,447) (8,037)
Other expenses (6,074) (5,727) (7,222) (6,559) (1,924)
Finance costs (12,047) (5,410) (13,931) (8,722) (3,723)
Impairment losses on financial assets - - - (4,307) (5,677)
Gain on dissolution of a subsiduary - - - 499
Share of profits/(losses) of an equity accounted associate (21) (39) (23) (25) 4
Profit before taxation 183,678 304,245 146,522 65,011 25,025
Income tax expense (40,271) (76,462) (39,407) (15,160) (7,018)
Profit after taxation 143,407 227,783 107,115 49,851 18,007
Other comprehensive (expenses)/income (5,148) - - (112) (62)
Total comprehensive income for the financial year 138,259 227,783 107,115 49,739 17,945
 
Profit after taxation attributable to:
- Owners of the Company 142,594 226,942 105,475 48,877 17,621
- Non-controlling interests 813 841 1,640 974 386
  143,407 227,783 107,115 49,851 18,007
 
Total comprehensive income attributable to:
- Owners of the Company 137,446 226,942 105,475 48,765 17,559
- Non-controlling interests 813 841 1,640 974 386
  138,259 227,783 107,115 49,739 17,945
 
Earnings Per Share (sen)
Basic 17.70 31.79 21.05 9.76 3.52
Diluted 17.49 31.33 21.05 9.76 3.52

* Please read this section in conjunction with Keyfield International Berhad’s Prospectus dated 26 March 2024 and latest Annual Report.