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01903 JBB BUILDERS
RT Nominal unchange0.455 0.000 (0.000%)
Latest  |  Final  |  Interim
Non-current Assets
2023/12 - Interim
MYR(KRM)
%Chg
(Interim to Interim)
2023/06
MYR(KRM)
2022/06
MYR(KRM)
2021/06
MYR(KRM)
2020/06
MYR(KRM)
Investment Properties2,2000.000%2,2002,2002,2002,710
Property, plant, equip. & others1,07721.147%8899421,4004,677
Land & other Lease Assets0--0000
Intangible Assets0--0000
Interests in Asso. & JCEs259-1.894%264357410298
Other Non-current Assets45,074-21.713%57,57518,39619,50723,759

48,610-20.217%60,92821,89523,51731,444
Current Assets
2023/12 - Interim
MYR(KRM)
%Chg
(Interim to Interim)
2023/06
MYR(KRM)
2022/06
MYR(KRM)
2021/06
MYR(KRM)
2020/06
MYR(KRM)
Inventories0--0000
Trade Receivables83,44487.124%44,593134,33992,18373,917
Cash & Bank Balances74,958-3.286%77,50585,91985,30975,968
Other Current Assets42,94819.829%35,84152,64168,85969,039
Assets Held for Sale0--0000

201,35027.486%157,939272,899246,351218,924
Current Liabilities
2023/12 - Interim
MYR(KRM)
%Chg
(Interim to Interim)
2023/06
MYR(KRM)
2022/06
MYR(KRM)
2021/06
MYR(KRM)
2020/06
MYR(KRM)
Trade Payables99,56858.548%62,800123,095118,20491,994
S-T Debt & Leases4,2345.036%4,0313,6142,964548
Other Current Liabilities7,879-3.420%8,15818,26617,92121,123
Liab asso w/ Assets Held for Sale0--0000

111,68148.930%74,989144,975139,089113,665
Net Current Assets89,6698.100%82,950127,924107,262105,259
Total Assets Less Current Liabilities138,279-3.891%143,878149,819130,779136,703
Non-current Liabilities
2023/12 - Interim
MYR(KRM)
%Chg
(Interim to Interim)
2023/06
MYR(KRM)
2022/06
MYR(KRM)
2021/06
MYR(KRM)
2020/06
MYR(KRM)
L-T Debt & Leases8,667-17.848%10,55010,5598,411745
Other Non-current Liabilities36--0000

8,703-17.507%10,55010,5598,411745
Capital and Reserves
2023/12 - Interim
MYR(KRM)
%Chg
(Interim to Interim)
2023/06
MYR(KRM)
2022/06
MYR(KRM)
2021/06
MYR(KRM)
2020/06
MYR(KRM)
  Share Capital2,6720.000%2,6722,6722,6722,672
  Reserves119,325-2.873%122,854127,299111,375122,922
  Others0--0000
Shareholders' Funds121,997-2.811%125,526129,971114,047125,594
Non-controlling Interests7,579-2.858%7,8029,2898,32110,364
Others0--0000

129,576-2.814%133,328139,260122,368135,958
Commitments and Contingent Liabilities
2023/12 - Interim
MYR(KRM)
%Chg
(Interim to Interim)
2023/06
MYR(KRM)
2022/06
MYR(KRM)
2021/06
MYR(KRM)
2020/06
MYR(KRM)
Commitments----96193187269
Contingent Liabilities----2,3622,3624,3354,335
Remarks:  Real time quote last updated: 26/07/2024 17:59
  Real-time basic market prices of Hong Kong securities are provided by HKEx; a Designated Website authorized by the HKEx Group to provide the Service
Security Code
Company Name (Chi/Eng/Keywords)
Industry
Profit / (Loss) Attributable to Shareholders (RM)MYR -3,017,000
%Change--
EPS / (LPS)MYR -0.006
NBV Per Share (RM)MYR 0.244
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