FGV Audited Financial Statements 2022

AUDITED FINANCIAL STATEMENTS 2022 13 Group Company 2022 RM’000 2021 RM’000 2022 RM’000 2021 RM’000 Profit for the financial year 1,268,601 1,175,578 553,445 269,918 Other comprehensive income: Items that will not be reclassified to profit or loss Actuarial gain on defined benefit plan 2,770 19,517 40 262 Fair value changes in financial assets at fair value through other comprehensive income (34,965) 53,908 - - Items that may be subsequently reclassified to profit or loss Currency translation differences 16,928 23,580 - - Realisation of foreign exchange reserve upon liquidation of a subsidiary (1,881) - - - Share of other comprehensive (loss)/income of an associate (945) 531 - - Share of other comprehensive loss of joint ventures (6,957) (597) - - Cash flow hedge reserve 3,426 5,543 - - 10,571 29,057 - - Total other comprehensive (loss)/income for the financial year, net of tax (21,624) 102,482 40 262 Total comprehensive income for the financial year 1,246,977 1,278,060 553,485 270,180 Total comprehensive income attributable to: Owners of the Company 1,312,526 1,269,363 553,485 270,180 Non-controlling interests (65,549) 8,697 - - 1,246,977 1,278,060 553,485 270,180 STATEMENTS OF COMPREHENSIVE INCOME FOR THE FINANCIAL YEAR ENDED 31 DECEMBER 2022

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