Key Financials

Key Financials

 

HY2024

K'000

2023

K'000

2022

K'000

Revenue and other income from continuing operations  358,081 669,296 631,262
Operating Profit 37,015 78,755 80,961
Profit attributed to shareholders  25,271 58,144 57,985
Cash generated from operations 53,368 103,559 183,519
Net cash (outflow)/inflow before financing (16,967) (145,255) 30,096
Shareholders' funds 1,059,261 1,052,595 1,027,010
External borrowings  361,655 420,218 263,084