VCI Global Ltd VCIG Financial Statement Data


2025 Q2

Submissions

Field Row 1
adsh 0001213900-25-042476
cik 1930510
name VCI GLOBAL LTD
sic 8744
countryba MY
stprba
cityba KUALA LUMPUR
zipba 59200
bas1 B03-C-8 MENARA 3A, KL ECO CITY, NO. 3
bas2 JALAN BANGSAR
baph 603 2201 5249
countryma MY
stprma
cityma KUALA LUMPUR
zipma 59200
mas1 B03-C-8 MENARA 3A, KL ECO CITY, NO. 3
mas2 JALAN BANGSAR
countryinc MY
stprinc
ein 000000000
former
changed
afs 4-NON
wksi 0
fye 1231
form 20-F
period 20241231
fy 2024
fp FY
filed 20250513
accepted 2025-05-13 13:20:00.0
prevrpt 0
detail 1
instance ea0239288-20f_vciglobal_htm.xml
nciks 1
aciks

Description
Field Name Field Description
adsh Accession Number. The 20-character string formed from the 18-digit number assigned by the SEC to each EDGAR submission.
cik Central Index Key (CIK). Ten digit number assigned by the SEC to each registrant that submits filings.
name Name of registrant. This corresponds to the name of the legal entity as recorded in EDGAR as of the filing date.
sic Standard Industrial Classification (SIC). Four digit code assigned by the SEC as of the filing date, indicating the registrant’s type of business.
countryba The ISO 3166-1 country of the registrant's business address.
stprba The state or province of the registrant’s business address, if field countryba is US or CA.
cityba The city of the registrant's business address.
zipba The zip code of the registrant’s business address.
bas1 The first line of the street of the registrant’s business address.
bas2 The second line of the street of the registrant’s business address.
baph The phone number of the registrant’s business address.
countryma The ISO 3166-1 country of the registrant's mailing address.
stprma The state or province of the registrant’s mailing address, if field countryma is US or CA.
cityma The city of the registrant's mailing address.
zipma The zip code of the registrant’s mailing address.
mas1 The first line of the street of the registrant’s mailing address.
mas2 The second line of the street of the registrant’s mailing address.
countryinc The ISO 3166-1 country of incorporation for the registrant.
stprinc The state or province of incorporation for the registrant, if countryinc is US or CA.
ein Employee Identification Number, 9 digit identification number assigned by the Internal Revenue Service to business entities operating in the United States.
former Most recent former name of the registrant, if any.
changed Date of change from the former name, if any.
afs Filer status with the SEC at the time of submission:
1-LAF=Large Accelerated, 2-ACC=Accelerated, 3-SRA=Smaller Reporting Accelerated, 4-NON=Non-Accelerated, 5-SML=Smaller Reporting Filer, NULL=not assigned.
wksi Well Known Seasoned Issuer (WKSI). An issuer that meets specific SEC requirements at some point during a 60-day period preceding the date the issuer satisfies its obligation to update its shelf registration statement.
fye Fiscal Year End Date, rounded to nearest month-end.
form The submission type of the registrant’s filing.
period Balance Sheet Date, rounded to nearest month-end.
fy Fiscal Year Focus (as defined in the EDGAR XBRL Guide Ch. 3.1.8).
fp Fiscal Period Focus (as defined in the EDGAR XBRL Guide Ch. 3.1.8) within Fiscal Year.
filed The date of the registrant’s filing with the Commission.
accepted The acceptance date and time of the registrant’s filing with the Commission.
prevrpt Previous Report – TRUE indicates that the submission information was subsequently amended.
detail TRUE indicates that the XBRL submission contains quantitative disclosures within the footnotes and schedules at the required detail level (e.g., each amount).
instance The name of the submitted XBRL Instance Document. The name often begins with the company ticker symbol.
nciks Number of Central Index Keys (CIK) of registrants (i.e., business units) included in the consolidating entity’s submitted filing.
aciks Additional CIKs of co-registrants included in a consolidating entity’s EDGAR submission, separated by spaces. If there are no other co-registrants (i.e., nciks=1), the value of aciks is NULL. For a very small number of filers, the entire list of co-registrants is too long to fit in the field. Where this is the case, users should refer to the complete submission file for all CIK information.

Numbers

adsh ddate tag value uom qtrs version segments coreg footnote
0001213900-25-042476 20221231 Adjusted Weighted Average Shares 35115.0000 shares 4 ifrs/2024
0001213900-25-042476 20231231 Adjusted Weighted Average Shares 38804.0000 shares 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Adjusted For Reverse Split;
0001213900-25-042476 20231231 Adjusted Weighted Average Shares 36802804.0000 shares 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Previous G A A P;
0001213900-25-042476 20241231 Adjustments For Amortisation Expense 929796.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Decrease Increase In Financial Assets Measured At Fair Value Through Other Comprehensive Income -2378581.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Gains Losses On Change In Fair Value Of Derivatives MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss 64406.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Trade And Other Receivables MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Increase Decrease In Contract Liabilities -500000.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Interest Income 49.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Loss On Disposal Of Subsidiary MYR 4 0001213900-25-042476
0001213900-25-042476 20221231 Assets 41824104.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Assets 19043436.0000 MYR 0 ifrs/2024 Products And Services= Business Strategy And Consultancy; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Assets 33181291.0000 MYR 0 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Assets 8642813.0000 MYR 0 ifrs/2024 Segments= Unallocated Assets;
0001213900-25-042476 20241231 Assets 409308663.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Assets 127618662.0000 MYR 0 ifrs/2024 Measurement= Fair Value Model;
0001213900-25-042476 20241231 Assets 117192924.0000 MYR 0 ifrs/2024 Products And Services= Technology Development Solutions And Consultancy; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Basic Earnings Loss Per Share 614.7000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Basic Earnings Loss Per Share 0.5900 USD 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Previous G A A P;
0001213900-25-042476 20231231 Basic Earnings Loss Per Share 0.9700 USD 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Previous G A A P;
0001213900-25-042476 20241231 Cash And Cash Equivalents 36214258.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Cash Flows From Used In Financing Activities 1088571.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Cash Flows From Used In Operating Activities -1343218.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Operations 100325230.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 213286384.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Cash Repayments Of Advances And Loans From Related Parties 10865755.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Cash Repayments Of Advances And Loans From Related Parties 2286287.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Comprehensive Income Attributable To Noncontrolling Interests -297376.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Comprehensive Income Attributable To Owners Of Parent -3906786.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Cost Of Sales 14125.0000 MYR 4 ifrs/2024 Products And Services= Subscription Fee;
0001213900-25-042476 20241231 Cost Of Sales 10892.0000 USD 4 ifrs/2024 Products And Services= Subscription Fee;
0001213900-25-042476 20241231 Current Assets 216669466.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Current Liabilities 22987120.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Current Warrant Liability 439409.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Deferred Initial Public Expense -456797.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Deferred Initial Public Expense USD 4 0001213900-25-042476
0001213900-25-042476 20231231 Diluted Earnings Loss Per Share 919.1400 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Diluted Earnings Loss Per Share 0.9700 USD 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Previous G A A P;
0001213900-25-042476 20221231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20231231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20231231 Equity 97062223.0000 MYR 0 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20241231 Equity 86321816.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Equity 1461292.0000 USD 0 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20241231 Equity And Liabilities 409308663.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Equity Attributable To Owners Of Parent 97062223.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Finance Costs 131912.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20231231 Impairment Loss Impairment Gain And Reversal Of Impairment Loss Determined In Accordance With I F R S9 272225.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Impairment Loss Recognised In Profit Or Loss Trade Receivables 919271.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Income Taxes Paid Refund Classified As Operating Activities 845884.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Income Tax Expense Continuing Operations 619698.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Retained Earnings;
0001213900-25-042476 20231231 Increase Decrease Through Revaluation Reserves 2378581.0000 MYR 4 0001213900-25-042476 Components Of Equity= Parent;
0001213900-25-042476 20231231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20221231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= A I Powered Travel Platform Software;
0001213900-25-042476 20221231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Finance Management System;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= Credit Service Management System;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= Finance Management System;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill 4700894.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Finance Management System;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Socializer Messenger Platform Software;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= Credit Service Management System;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= Finance Management System;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 33495016.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 4470400.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= A I Powered Travel Platform Software;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 248411.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Other Software Package;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 15493602.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Socializer Messenger Platform Software;
0001213900-25-042476 20241231 Interest Received Classified As Investing Activities 4140.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20231231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20231231 Issue Of Equity 30881704.0000 MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20241231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20241231 Liabilities 23415618.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Longterm Borrowings 21936.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Noncurrent Assets 69082530.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Financial Assets At Fair Value Through Profit Or Loss MYR 0 ifrs/2024
0001213900-25-042476 20241231 Other Comprehensive Income Before Tax MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Other Comprehensive Income Before Tax MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20231231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax 37813645.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -2451036.0000 MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Other Income 241591.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Proceed From Initial Public Offering MYR 4 0001213900-25-042476
0001213900-25-042476 20221231 Professional Fees Expense 181228.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Professional Fees Expense 2608458.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Profit Loss -1329391.0000 MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Profit Loss Before Tax 34356110.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Profit Loss From Continuing Operations 20314976.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Profit Loss From Continuing Operations 13891022.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Property Plant And Equipment 1897500.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost;
0001213900-25-042476 20231231 Property Plant And Equipment 245706.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Office Equipment;
0001213900-25-042476 20231231 Purchase Of Intangible Assets Classified As Investing Activities 111594.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Repayment Of Operating Leases Liabilities Classified As Financing Activities 207232.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Repayments Of Other Borrowings USD 4 0001213900-25-042476
0001213900-25-042476 20241231 Reserve Of Sharebased Payments 76395175.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Revenue 90798144.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Revenue 1123071.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Other Segments;
0001213900-25-042476 20241231 Revenue 124388391.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Trade And Other Current Payables To Related Parties 487111.0000 USD 0 ifrs/2024 Classes Of Financial Instruments= Financial Instruments;
0001213900-25-042476 20231231 Trade And Other Current Receivables 28949592.0000 MYR 0 ifrs/2024 Classes Of Financial Instruments= Trade Receivables;
0001213900-25-042476 20241231 Equity 385893045.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20221231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20231231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20221231 Equity 6420760.0000 MYR 0 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Equity 6532560.0000 MYR 0 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20231231 Equity 2696335.0000 MYR 0 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20241231 Equity 6532560.0000 MYR 0 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20241231 Equity -5611.0000 MYR 0 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Equity And Liabilities 91559740.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20241231 Income Tax Expense Continuing Operations 108416.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Increase Decrease In Cash And Cash Equivalents 873048.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Increase Decrease In Cash And Cash Equivalents 36495160.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Increase Decrease Through Disposal Of Subsidiary 14209606.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Capital Reserve;
0001213900-25-042476 20241231 Increase Decrease Through Revaluation Reserves -45581548.0000 MYR 4 0001213900-25-042476 Components Of Equity= Parent;
0001213900-25-042476 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20221231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Other Software Package;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill 4589300.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= A I Powered Travel Platform Software;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= A I Powered Travel Platform Software;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 1467386.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Finance Management System;
0001213900-25-042476 20221231 Interest Received Classified As Investing Activities 49.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20221231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20231231 Issue Of Equity 30881704.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20241231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Loans And Advances To Customers 45971489.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Noncontrolling Interests -1255.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Other Comprehensive Income Before Tax -41756210.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20231231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax 40264681.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20241231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -6555371.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20221231 Other Income 1732343.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Other Operating Income Expense -4034471.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Other Operating Income Expense -9524946.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Proceeds From Repayment Warrant Liabilities MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Proceeds From Repayment Warrant Liabilities -35013797.0000 USD 4 0001213900-25-042476
0001213900-25-042476 20221231 Profit Loss -1270065.0000 MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20221231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20221231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20231231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20231231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20241231 Profit Loss 33871448.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Profit Loss 35200839.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20241231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20241231 Profit Loss 35200839.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Profit Loss 7576827.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Profit Loss From Continuing Operations 33215140.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Profit Loss From Continuing Operations 21908118.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Business Strategy And Consultancy;
0001213900-25-042476 20231231 Profit Loss From Continuing Operations 9918688.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Technology Development Solutions And Consultancy;
0001213900-25-042476 20221231 Property Plant And Equipment 345921.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation;
0001213900-25-042476 20221231 Property Plant And Equipment 71458.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Fixtures And Fittings;
0001213900-25-042476 20231231 Property Plant And Equipment 369999.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Office Renovation;
0001213900-25-042476 20241231 Property Plant And Equipment 3610860.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost;
0001213900-25-042476 20241231 Property Plant And Equipment 378820.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Computer Software;
0001213900-25-042476 20221231 Purchase Of Financial Assets Measured At Fair Value Through Profit And Loss 10211.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Purchase Of Financial Assets Measured At Fair Value Through Profit And Loss MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Purchase Of Financial Assets Measured At Fair Value Through Profit And Loss MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Reclassification Adjustments On Exchange Differences On Translation Net Of Tax 7084186.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Rental Expense 100530.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Repayments Of Borrowings Classified As Financing Activities 99210.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Repayments Of Borrowings Classified As Financing Activities 6136.0000 MYR 4 ifrs/2024 Borrowings By Name= Loan Three;
0001213900-25-042476 20241231 Reserve Of Sharebased Payments 341516993.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Revenue 1667301.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Other Segments;
0001213900-25-042476 20231231 Revenue From Rendering Of Services Related Party Transactions 1216444.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Shortterm Borrowings 160455.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Trade And Other Current Payables 19383929.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Trade And Other Current Payables 19737412.0000 MYR 0 ifrs/2024 Classes Of Financial Liabilities= Trade And Other Current Payables;
0001213900-25-042476 20231231 Trade And Other Current Receivables 28949592.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Trade And Other Current Receivables 134153017.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Weighted Average Shares 35115.0000 shares 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Adjusted For Reverse Split;
0001213900-25-042476 20231231 Weighted Average Shares 38804.0000 shares 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Decrease Increase In Financial Assets Measured At Fair Value Through Other Comprehensive Income 45581548.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Decrease Increase In Gain On Disposal Of Financial Assets At Fair Value Through Profit And Loss MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Decrease Increase In Gain On Disposal Of Financial Assets At Fair Value Through Profit And Loss MYR 4 0001213900-25-042476
0001213900-25-042476 20221231 Adjustments For Decrease Increase In Loan Receivable MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Gains Losses On Change In Fair Value Of Derivatives 33977.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss 14407.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Trade And Other Receivables 1651127.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Interest Income 7323.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Interest Income 18507.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Amortisation Expense 207989.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Assets 12819747.0000 MYR 0 ifrs/2024 Measurement= Fair Value Model;
0001213900-25-042476 20221231 Assets 1175112.0000 MYR 0 ifrs/2024 Products And Services= Technology Development Solutions And Consultancy; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Basic Earnings Loss Per Share 244.7100 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Cash And Bank Balances At Central Banks 4637279.0000 MYR 0 ifrs/2024
0001213900-25-042476 20211231 Cash And Cash Equivalents 3122947.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Cash And Cash Equivalents 4637279.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Cash Flows From Used In Operations -1366227.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Operations 22442116.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Cash Flows From Used In Operations Before Changes In Working Capital 13064895.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Cash Flows From Used In Operations Before Changes In Working Capital 39716988.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Operations Before Changes In Working Capital 14476227.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Cash Repayments Of Advances And Loans From Related Parties 1300359.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cost Of Sales 809764.0000 MYR 4 ifrs/2024 Products And Services= Referral Fee;
0001213900-25-042476 20241231 Cost Of Sales 48691.0000 MYR 4 ifrs/2024 Products And Services= Subscription Fee;
0001213900-25-042476 20241231 Current Tax Assets 330702.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Current Tax Liabilities Current 251212.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Current Warrant Liability 1964335.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Deferred Tax Assets 339650.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Deferred Tax Assets 339650.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Diluted Earnings Loss Per Share 919.1400 USD 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Adjusted For Reverse Split;
0001213900-25-042476 20241231 Employee Benefits Expense 30449669.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cost Of Sales 181139.0000 USD 4 ifrs/2024 Products And Services= Referral Fee;
0001213900-25-042476 20241231 Current Deferred Income Including Current Contract Liabilities 487111.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Current Warrant Liability 148887.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Deferred Tax Assets MYR 0 ifrs/2024
0001213900-25-042476 20241231 Depreciation Expense 238058.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Depreciation Rightofuse Assets 664498.0000 MYR 4 ifrs/2024 Liabilities Arising From Financing Activities= Lease Liabilities;
0001213900-25-042476 20221231 Dividends Paid 6909000.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20241231 Dividends Paid Classified As Financing Activities MYR 4 ifrs/2024
0001213900-25-042476 20241231 Dividends Paid Other Shares MYR 4 ifrs/2024
0001213900-25-042476 20241231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents -1100166.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Employee Benefits Expense 10588252.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Equity -164909.0000 MYR 0 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20231231 Equity 44009131.0000 MYR 0 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20231231 Equity -4092360.0000 MYR 0 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Equity 385898656.0000 MYR 0 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20241231 Equity -4387851.0000 MYR 0 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20241231 Equity Attributable To Owners Of Parent 385898656.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Finance Costs 51104.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Finance Costs 92587.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Finance Costs 589699.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Gains Losses On Exchange Differences On Translation Net Of Tax 2696335.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Gains Losses On Exchange Differences On Translation Net Of Tax -7084186.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20221231 Impairment Loss Impairment Gain And Reversal Of Impairment Loss Determined In Accordance With I F R S9 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Income Tax Expense Continuing Operations -6590981.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Income Tax Expense Continuing Operations -484662.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Increase Decrease In Cash And Cash Equivalents 8163735.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Increase Decrease Through Disposal Of Subsidiary 5416140.0000 MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Increase Decrease Through Disposal Of Subsidiary MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20221231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Issued Capital;
0001213900-25-042476 20231231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings 7122461.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= Socializer Messenger Platform Software;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill 4700894.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 32583106.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 911910.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 1000000.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= A I Powered Travel Platform Software;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 1503848.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Credit Service Management System;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 3267529.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Socializer Messenger Platform Software;
0001213900-25-042476 20231231 Interest Received Classified As Investing Activities 7323.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Loan Advance And Financing To Customersin Dollars 29336072.0000 MYR 0 0001213900-25-042476
0001213900-25-042476 20241231 Loss On Dissolution Of Subsidiaries 4620.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Loss On Dissolution Of Subsidiaries 1033.0000 USD 4 0001213900-25-042476
0001213900-25-042476 20241231 Noncurrent Assets 192639197.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Financial Assets At Fair Value Through Other Comprehensive Income 127618662.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Financial Assets At Fair Value Through Other Comprehensive Income 127618662.0000 MYR 0 ifrs/2024 Measurement= Fair Value Model;
0001213900-25-042476 20241231 Other Comprehensive Income Before Tax MYR 4 ifrs/2024
0001213900-25-042476 20241231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -18794286.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20221231 Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities 17558.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20231231 Profit Loss 35666176.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20231231 Profit Loss 33215140.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Profit Loss Attributable To Noncontrolling Interests -2451036.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Profit Loss Attributable To Owners Of Parent 35200839.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Profit Loss From Continuing Operations 744482.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Other Segments;
0001213900-25-042476 20221231 Profit Loss From Continuing Operations 8450724.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Technology Development Solutions And Consultancy;
0001213900-25-042476 20241231 Profit Loss From Continuing Operations 34503051.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Profit Loss From Continuing Operations 20357302.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Business Strategy And Consultancy;
0001213900-25-042476 20241231 Profit Loss From Continuing Operations 11598867.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Technology Development Solutions And Consultancy;
0001213900-25-042476 20221231 Property Plant And Equipment 184461.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Office Renovation;
0001213900-25-042476 20221231 Property Plant And Equipment 260803.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Fixtures And Fittings;
0001213900-25-042476 20231231 Property Plant And Equipment 3198123.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount;
0001213900-25-042476 20231231 Property Plant And Equipment 1773926.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Office Renovation;
0001213900-25-042476 20221231 Adjusted Weighted Average Shares 35115.0000 shares 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Adjusted For Reverse Split;
0001213900-25-042476 20221231 Adjustments For Allowance For Expected Credit Losses On Trade Receivables 342427.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Decrease Increase In Gain On Disposal Of Financial Assets At Fair Value Through Profit And Loss USD 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Loss On Disposal Of Subsidiary 1786102.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Loss On Disposal Of Subsidiary 399540.0000 USD 4 0001213900-25-042476
0001213900-25-042476 20231231 Adjustments For Sharebased Payments 4451733.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Sharebased Payments 1890495.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Assets MYR 0 ifrs/2024 Products And Services= Sales Of Goods; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Assets 38368829.0000 MYR 0 ifrs/2024 Measurement= Fair Value Model;
0001213900-25-042476 20231231 Assets 118047637.0000 MYR 0 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Assets 8582863.0000 USD 0 ifrs/2024 Measurement= Fair Value Model;
0001213900-25-042476 20241231 Assets 127411770.0000 MYR 0 ifrs/2024 Products And Services= Other Services; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Basic Earnings Loss Per Share 919.1400 USD 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Adjusted For Reverse Split;
0001213900-25-042476 20241231 Cash Repayments Of Advances And Loans From Related Parties 290882.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Comprehensive Income 38290056.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Comprehensive Income -4204162.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Comprehensive Income Attributable To Owners Of Parent 182909.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Cost Of Sales 7655889.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Cost Of Sales 140982.0000 MYR 4 ifrs/2024 Products And Services= Subscription Fee;
0001213900-25-042476 20241231 Cost Of Sales 10767202.0000 MYR 4 ifrs/2024 Products And Services= I T Expenses;
0001213900-25-042476 20241231 Cost Of Sales 684292.0000 MYR 4 ifrs/2024 Products And Services= Others;
0001213900-25-042476 20231231 Property Plant And Equipment 328415.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Computer Software;
0001213900-25-042476 20231231 Property Plant And Equipment 2143925.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Office Renovation;
0001213900-25-042476 20241231 Property Plant And Equipment 597520.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Office Renovation;
0001213900-25-042476 20241231 Property Plant And Equipment 323014.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Office Equipment;
0001213900-25-042476 20241231 Property Plant And Equipment 49812.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Computer Software;
0001213900-25-042476 20241231 Property Plant And Equipment 22066.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Work In Progress;
0001213900-25-042476 20241231 Purchase Of Financial Assets Measured At Fair Value Through Profit And Loss USD 4 0001213900-25-042476
0001213900-25-042476 20221231 Purchase Of Intangible Assets Classified As Investing Activities MYR 4 ifrs/2024
0001213900-25-042476 20221231 Rental Expense 257243.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Revenue 35569882.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Revenue 383225.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Other Segments;
0001213900-25-042476 20231231 Revenue 67252153.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Business Strategy And Consultancy;
0001213900-25-042476 20241231 Rightofuse Assets 120670.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Trade And Other Current Payables 19383929.0000 MYR 0 ifrs/2024 Classes Of Financial Liabilities= Trade And Other Current Payables;
0001213900-25-042476 20241231 Trade And Other Current Payables 19737412.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Trade And Other Current Payables To Related Parties 1300359.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Trade And Other Current Payables To Related Parties MYR 0 ifrs/2024
0001213900-25-042476 20241231 Trade And Other Current Receivables 30009175.0000 USD 0 ifrs/2024 Classes Of Financial Instruments= Trade Receivables;
0001213900-25-042476 20231231 Weighted Average Shares 38804.0000 shares 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Adjusted For Reverse Split;
0001213900-25-042476 20231231 Weighted Average Shares 36802804.0000 shares 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Previous G A A P;
0001213900-25-042476 20241231 Adjustments For Allowance For Expected Credit Losses On Trade Receivables 2458381.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Adjustments For Amortisation Expense MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Decrease Increase In Loan Receivable -36848761.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Adjustments For Decrease Increase In Trade And Other Receivables -14315073.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Decrease Increase In Trade And Other Receivables 53597355.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Gains Losses On Change In Fair Value Of Derivatives MYR 4 ifrs/2024 Income Statement Locations= Other Operating Expense;
0001213900-25-042476 20231231 Adjustments For Gains Losses On Change In Fair Value Of Derivatives MYR 4 ifrs/2024 Income Statement Locations= Other Operating Expense;
0001213900-25-042476 20241231 Adjustments For Gains Losses On Change In Fair Value Of Derivatives 151891.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Loans And Advances 238056.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Increase Decrease In Deferred Income Other Than Contract Liabilities USD 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Increase Decrease In Trade And Other Payables 17576059.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Interest Expense 50328.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Interest Expense 589699.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Interest Income 4140.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Loss On Disposals Property Plant And Equipment MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Assets 12474902.0000 MYR 0 ifrs/2024 Products And Services= Sales Of Goods; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Assets 409308663.0000 MYR 0 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Assets 91559740.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Financing Activities 154356691.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Cash Flows From Used In Investing Activities 1127695.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Investing Activities -217459835.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Cash Flows From Used In Operating Activities 5283329.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Operating Activities 99598304.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Cash Flows From Used In Operations 6129213.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Operations Before Changes In Working Capital 64714522.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 47710805.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Comprehensive Income -1087156.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Comprehensive Income -18794286.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Cost Of Sales MYR 4 ifrs/2024 Products And Services= Referral Fee;
0001213900-25-042476 20241231 Cost Of Sales 9810454.0000 MYR 4 ifrs/2024 Products And Services= Consultant Fee;
0001213900-25-042476 20241231 Cost Of Sales 2408554.0000 USD 4 ifrs/2024 Products And Services= I T Expenses;
0001213900-25-042476 20231231 Current Assets 48965107.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Current Warrant Liability 33305.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Deferred Initial Public Expense MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Depreciation Rightofuse Assets 148644.0000 USD 4 ifrs/2024 Liabilities Arising From Financing Activities= Lease Liabilities;
0001213900-25-042476 20221231 Dividends Paid 6909000.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20221231 Dividends Paid 6909000.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20221231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents MYR 4 ifrs/2024
0001213900-25-042476 20211231 Equity 220000.0000 MYR 0 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20221231 Adjusted Weighted Average Shares 34412259.0000 shares 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Previous G A A P;
0001213900-25-042476 20241231 Adjustments For Allowance For Expected Credit Losses On Trade Receivables 549924.0000 USD 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Gain Loss On Disposals Property Plant And Equipment USD 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Loans And Advances MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Trade And Other Receivables 369347.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Increase Decrease In Contract Liabilities USD 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Increase Decrease In Deferred Income Other Than Contract Liabilities MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Interest Expense 90804.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Interest Income 49.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Adjustments For Loss On Disposal Of Subsidiary MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Adjustments For Property And Equipment Written Off MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Property And Equipment Written Off 4251.0000 USD 4 0001213900-25-042476
0001213900-25-042476 20221231 Adjustments For Sharebased Payments MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Sharebased Payments 8451269.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Sharebased Payments 24356481.0000 USD 4 ifrs/2024 Categories Of Related Parties= Y Y Group Holding Limited;
0001213900-25-042476 20231231 Assets 56519511.0000 MYR 0 ifrs/2024 Products And Services= Business Strategy And Consultancy; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Assets 152229067.0000 MYR 0 ifrs/2024 Products And Services= Business Strategy And Consultancy; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Basic Earnings Loss Per Share 614.7000 USD 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Adjusted For Reverse Split;
0001213900-25-042476 20241231 Basic Earnings Loss Per Share 54.7400 USD 4 ifrs/2024
0001213900-25-042476 20231231 Capital Reserve 6532560.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Cash And Cash Equivalents 1037330.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Cash Flows From Used In Investing Activities -18243659.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Operating Activities 22279507.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities 43571001.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Comprehensive Income Attributable To Noncontrolling Interests -1329391.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Cost Of Sales 534664.0000 MYR 4 ifrs/2024 Products And Services= Others;
0001213900-25-042476 20231231 Cost Of Sales 2534502.0000 MYR 4 ifrs/2024 Products And Services= Referral Fee;
0001213900-25-042476 20241231 Current Assets 48467579.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Current Deferred Income Including Current Contract Liabilities 2177580.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Current Liabilities 23149680.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Deferred Tax Assets 75978.0000 USD 0 ifrs/2024
0001213900-25-042476 20221231 Depreciation Expense 467616.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Diluted Earnings Loss Per Share 614.7000 USD 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Adjusted For Reverse Split;
0001213900-25-042476 20231231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20231231 Dividends Paid 476411.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20221231 Dividends Paid Other Shares 6909000.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Equity 42147317.0000 MYR 0 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Equity 76395175.0000 USD 0 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20241231 Equity -480596.0000 USD 0 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Gains Losses On Exchange Differences On Translation Net Of Tax -7084186.0000 MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20241231 Impairment Loss Recognised In Profit Or Loss Trade Receivables 4109508.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Income Taxes Paid Refund Classified As Operating Activities 726926.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Income Taxes Paid Refund Classified As Operating Activities 162609.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Income Tax Expense Continuing Operations -619698.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Increase Decrease Through Disposal Of Subsidiary MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20241231 Increase Decrease Through Disposal Of Subsidiary MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20221231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Capital Reserve;
0001213900-25-042476 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings -7122461.0000 MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20221231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Credit Service Management System;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= Other Software Package;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 6559803.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Finance Management System;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 7288633.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 49870.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Other Software Package;
0001213900-25-042476 20221231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20221231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Issue Of Equity 297507862.0000 MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20241231 Issue Of Equity 297507862.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20241231 Liabilities 5237924.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Noncurrent Financial Assets At Fair Value Through Profit Or Loss 72793.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Noncurrent Lease Liabilities 544973.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Lease Liabilities 167879.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20241231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -17464895.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20241231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -3825338.0000 MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Other Income 752251.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Other Income 1080007.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Professional Fees Expense 11660849.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20221231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20221231 Profit Loss 20314976.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Profit Loss Before Tax 13723995.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Profit Loss From Continuing Operations 74688.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Other Segments;
0001213900-25-042476 20241231 Profit Loss From Continuing Operations 7576827.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Property Plant And Equipment 185085.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Office Equipment;
0001213900-25-042476 20231231 Property Plant And Equipment 713259.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Work In Progress;
0001213900-25-042476 20231231 Property Plant And Equipment 713259.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Work In Progress;
0001213900-25-042476 20241231 Property Plant And Equipment 2437358.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Office Renovation;
0001213900-25-042476 20241231 Purchase Of Intangible Assets Classified As Investing Activities 2290423.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Purchase Of Property Plant And Equipment Classified As Investing Activities 327077.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Rental Expense 232081.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Repayments Of Borrowings Classified As Financing Activities 3318.0000 MYR 4 ifrs/2024 Borrowings By Name= Loan One;
0001213900-25-042476 20231231 Retained Earnings 42147317.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Retained Earnings 9928734.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Revenue 20525915.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Technology Development Solutions And Consultancy;
0001213900-25-042476 20231231 Rightofuse Assets 1203941.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Shortterm Borrowings 717300.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Trade And Other Current Payables 4415133.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Trade And Other Current Payables To Related Parties 1300359.0000 MYR 0 ifrs/2024 Classes Of Financial Instruments= Financial Instruments;
0001213900-25-042476 20241231 Trade And Other Current Receivables 134153017.0000 MYR 0 ifrs/2024 Classes Of Financial Instruments= Trade Receivables;
0001213900-25-042476 20241231 Weighted Average Shares 143850.0000 shares 4 ifrs/2024
0001213900-25-042476 20231231 Adjusted Weighted Average Shares 38804.0000 shares 4 ifrs/2024
0001213900-25-042476 20241231 Adjusted Weighted Average Shares 143850.0000 shares 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Allowance For Expected Credit Losses On Trade Receivables 1571162.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Decrease Increase In Financial Assets Measured At Fair Value Through Other Comprehensive Income 10196302.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Depreciation And Amortisation Expense 229568.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Gain Loss On Disposals Property Plant And Equipment 6501.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Gain Loss On Disposals Property Plant And Equipment MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Gain Loss On Disposals Property Plant And Equipment MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Gains Losses On Change In Fair Value Of Derivatives MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Gains Losses On Change In Fair Value Of Derivatives -151891.0000 MYR 4 ifrs/2024 Income Statement Locations= Other Operating Expense;
0001213900-25-042476 20241231 Adjustments For Gains Losses On Change In Fair Value Of Derivatives -33977.0000 USD 4 ifrs/2024 Income Statement Locations= Other Operating Expense;
0001213900-25-042476 20221231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Loans And Advances 272225.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Trade And Other Receivables MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Increase Decrease In Contract Liabilities MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Increase Decrease In Contract Liabilities MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Increase Decrease In Trade And Other Payables 695175.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Interest Expense 131912.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Interest Income 18507.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Profit Loss Attributable To Owners Of Parent 7874203.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Loss On Disposals Property Plant And Equipment 29267.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Property And Equipment Written Off 19003.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Amortisation Expense 929796.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Assets MYR 0 ifrs/2024 Segments= Unallocated Assets;
0001213900-25-042476 20241231 Assets MYR 0 ifrs/2024 Segments= Unallocated Assets;
0001213900-25-042476 20241231 Assets 28547482.0000 USD 0 ifrs/2024 Measurement= Fair Value Model;
0001213900-25-042476 20241231 Cash And Bank Balances At Central Banks 36214258.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities MYR 4 ifrs/2024
0001213900-25-042476 20231231 Comprehensive Income Attributable To Owners Of Parent 40741092.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Cost Of Sales 32598.0000 MYR 4 ifrs/2024 Products And Services= Others;
0001213900-25-042476 20241231 Cost Of Sales 22120403.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Cost Of Sales 2194536.0000 USD 4 ifrs/2024 Products And Services= Consultant Fee;
0001213900-25-042476 20241231 Cost Of Sales 153072.0000 USD 4 ifrs/2024 Products And Services= Others;
0001213900-25-042476 20231231 Current Deferred Income Including Current Contract Liabilities MYR 0 ifrs/2024
0001213900-25-042476 20241231 Current Lease Liabilities 82431.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Current Tax Assets MYR 0 ifrs/2024
0001213900-25-042476 20241231 Current Tax Liabilities Current MYR 0 ifrs/2024
0001213900-25-042476 20221231 Deferred Initial Public Expense -577422.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Depreciation Rightofuse Assets 424837.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Depreciation Rightofuse Assets 664498.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Depreciation Rightofuse Assets 148644.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20241231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents -4918181.0000 MYR 4 ifrs/2024
0001213900-25-042476 20211231 Equity 19363243.0000 MYR 0 ifrs/2024
0001213900-25-042476 20211231 Equity 27822892.0000 MYR 0 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20211231 Equity -14840950.0000 MYR 0 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20221231 Equity 13127427.0000 MYR 0 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20221231 Equity -1641324.0000 MYR 0 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20221231 Equity 25915838.0000 MYR 0 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20231231 Equity 1676880.0000 MYR 0 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20241231 Equity 341516993.0000 MYR 0 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20241231 Equity -981534.0000 USD 0 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20241231 Equity 9928734.0000 USD 0 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20231231 Fair Value Reserve 1676880.0000 MYR 0 0001213900-25-042476
0001213900-25-042476 20241231 Fair Value Reserve -480596.0000 USD 0 0001213900-25-042476
0001213900-25-042476 20231231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20231231 Gains Losses On Exchange Differences On Translation Net Of Tax 2696335.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20241231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20231231 Increase Decrease In Cash And Cash Equivalents 641284.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20231231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Issued Capital;
0001213900-25-042476 20231231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Issued Capital;
0001213900-25-042476 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20221231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Socializer Messenger Platform Software;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill 4700894.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Credit Service Management System;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 25470.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= Other Software Package;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 4470400.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= A I Powered Travel Platform Software;
0001213900-25-042476 20221231 Interest Paid Classified As Financing Activities 50328.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Interest Paid Classified As Financing Activities 90804.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Interest Received Classified As Investing Activities 18507.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Issue Of Equity 12907427.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20231231 Loans And Advances To Customers 36576536.0000 MYR 0 ifrs/2024 Classes Of Financial Assets= Loan Receivables;
0001213900-25-042476 20241231 Longterm Borrowings 98059.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Noncurrent Financial Assets At Fair Value Through Other Comprehensive Income 38368829.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Financial Assets At Fair Value Through Other Comprehensive Income 28547482.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Financial Assets At Fair Value Through Other Comprehensive Income 28547482.0000 USD 0 ifrs/2024 Measurement= Fair Value Model;
0001213900-25-042476 20221231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -1270065.0000 MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20221231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -21402132.0000 MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20221231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax 14676041.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20231231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax 2696335.0000 MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20241231 Other Operating Income Expense -4362179.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Proceed From Initial Public Offering USD 4 0001213900-25-042476
0001213900-25-042476 20241231 Proceeds From Disposal Of Financial Assets At Fair Value Through Profit And Loss 7981.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Proceeds From Repayment Warrant Liabilities -156525677.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20221231 Proceeds From Sales Of Investments Accounted For Using Equity Method MYR 4 ifrs/2024
0001213900-25-042476 20221231 Professional Fee MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Professional Fee 12968353.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Profit Loss 35666176.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20231231 Profit Loss Before Tax 32595442.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Profit Loss From Continuing Operations 33871448.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Property Plant And Equipment 241444.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Computer Software;
0001213900-25-042476 20241231 Property Plant And Equipment 2561914.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Property Plant And Equipment 373023.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Fixtures And Fittings;
0001213900-25-042476 20241231 Property Plant And Equipment 573084.0000 USD 0 ifrs/2024
0001213900-25-042476 20221231 Reclassification Adjustments On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024
0001213900-25-042476 20241231 Repayments Of Borrowings Classified As Financing Activities 3639.0000 MYR 4 ifrs/2024 Borrowings By Name= Loan Two;
0001213900-25-042476 20221231 Repayments Of Other Borrowings 18909.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Repayments Of Other Borrowings 49699.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Reserve Of Exchange Differences On Translation 2696335.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Revenue 35569882.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Revenue 17505200.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Technology Development Solutions And Consultancy;
0001213900-25-042476 20241231 Revenue 66271454.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Business Strategy And Consultancy;
0001213900-25-042476 20241231 Revenue From Sale Of Goods 27824891.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Trade And Other Current Payables To Related Parties 2177580.0000 MYR 0 ifrs/2024 Classes Of Financial Instruments= Financial Instruments;
0001213900-25-042476 20221231 Weighted Average Shares 34412259.0000 shares 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Previous G A A P;
0001213900-25-042476 20241231 Adjustments For Amortisation Expense 207989.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Decrease Increase In Financial Assets Measured At Fair Value Through Other Comprehensive Income 21402132.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Decrease Increase In Loan Receivable -8717135.0000 USD 4 0001213900-25-042476
0001213900-25-042476 20221231 Adjustments For Decrease Increase In Trade And Other Receivables -14315976.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Decrease Increase In Trade And Other Receivables 11989387.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Increase Decrease In Deferred Income Other Than Contract Liabilities -310321.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Increase Decrease In Trade And Other Payables 4693637.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Interest Income 7323.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Equity 6532560.0000 MYR 0 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20221231 Equity MYR 0 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20231231 Assets 8024218.0000 MYR 0 ifrs/2024 Products And Services= Other Services; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Assets 38007733.0000 MYR 0 ifrs/2024 Products And Services= Sales Of Goods; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Assets 15496175.0000 MYR 0 ifrs/2024 Products And Services= Technology Development Solutions And Consultancy; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Basic Earnings Loss Per Share 919.1400 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Capital Reserve 6532560.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Cash And Cash Equivalents 3995995.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Cash And Cash Equivalents 8100899.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Cash Flows From Used In Financing Activities 13601614.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Comprehensive Income Attributable To Noncontrolling Interests -1270065.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Cost Of Sales 1884806.0000 MYR 4 ifrs/2024 Products And Services= Consultant Fee;
0001213900-25-042476 20221231 Cost Of Sales 5724360.0000 MYR 4 ifrs/2024 Products And Services= I T Expenses;
0001213900-25-042476 20231231 Current Lease Liabilities 710367.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Current Liabilities 5178435.0000 USD 0 ifrs/2024
0001213900-25-042476 20221231 Current Warrant Liability MYR 0 ifrs/2024
0001213900-25-042476 20241231 Deferred Tax Assets USD 0 ifrs/2024
0001213900-25-042476 20231231 Depreciation Expense 742945.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Depreciation Rightofuse Assets 424837.0000 MYR 4 ifrs/2024 Liabilities Arising From Financing Activities= Lease Liabilities;
0001213900-25-042476 20241231 Diluted Earnings Loss Per Share 244.7100 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Dividends Paid Classified As Financing Activities MYR 4 ifrs/2024
0001213900-25-042476 20241231 Dividends Paid Classified As Financing Activities USD 4 ifrs/2024
0001213900-25-042476 20231231 Dividends Paid Other Shares MYR 4 ifrs/2024
0001213900-25-042476 20211231 Equity -371259.0000 MYR 0 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Equity 44385412.0000 MYR 0 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Equity 86323071.0000 USD 0 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20231231 Equity And Liabilities 118047637.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Finance Costs 51104.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Finance Costs 589699.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Impairment Loss Impairment Gain And Reversal Of Impairment Loss Determined In Accordance With I F R S9 53252.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Impairment Loss Recognised In Profit Or Loss Trade Receivables 342427.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Income Tax Expense Continuing Operations 484662.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Increase Decrease Through Revaluation Reserves -21402132.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20221231 Increase Decrease Through Revaluation Reserves -21402132.0000 MYR 4 0001213900-25-042476 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Increase Decrease Through Revaluation Reserves 2378581.0000 MYR 4 0001213900-25-042476 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings MYR 4 ifrs/2024
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill 4589300.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= A I Powered Travel Platform Software;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Finance Management System;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill 111594.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Other Software Package;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 886440.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= Socializer Messenger Platform Software;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 32583106.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 7288633.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Interest Paid Classified As Financing Activities 9491.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Issue Of Equity 12907427.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20241231 Issue Of Equity 297507862.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Loan Advance And Financing To Customersin Dollars 21198300.0000 MYR 0 0001213900-25-042476
0001213900-25-042476 20241231 Loans And Advances To Customers 75307561.0000 MYR 0 ifrs/2024 Classes Of Financial Assets= Loan Receivables;
0001213900-25-042476 20231231 Noncontrolling Interests -4092360.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Assets 43092161.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Noncurrent Financial Assets At Fair Value Through Other Comprehensive Income 38368829.0000 MYR 0 ifrs/2024 Measurement= Fair Value Model;
0001213900-25-042476 20241231 Noncurrent Liabilities 265938.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Other Comprehensive Income 5074916.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Other Comprehensive Income Before Tax MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20241231 Other Comprehensive Income Before Tax MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20221231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20231231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20231231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -4743880.0000 MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20241231 Other Operating Income Expense -19500684.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Proceed From Initial Public Offering 17457899.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Proceeds From Disposal Of Financial Assets At Fair Value Through Profit And Loss 1785.0000 USD 4 0001213900-25-042476
0001213900-25-042476 20221231 Proceeds From Repayment Warrant Liabilities -12907427.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities USD 4 ifrs/2024
0001213900-25-042476 20231231 Professional Fee MYR 4 0001213900-25-042476
0001213900-25-042476 20221231 Profit Loss 21585041.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20221231 Profit Loss 21585041.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20241231 Profit Loss 33871448.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Profit Loss Attributable To Noncontrolling Interests -1329391.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Profit Loss Attributable To Noncontrolling Interests -297376.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Profit Loss Before Tax 13723995.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Property Plant And Equipment 1323962.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Office Renovation;
0001213900-25-042476 20231231 Property Plant And Equipment 86971.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Computer Software;
0001213900-25-042476 20231231 Property Plant And Equipment 58903.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Office Equipment;
0001213900-25-042476 20231231 Property Plant And Equipment 3851713.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost;
0001213900-25-042476 20241231 Property Plant And Equipment 204083.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Fixtures And Fittings;
0001213900-25-042476 20241231 Property Plant And Equipment 91204.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Office Equipment;
0001213900-25-042476 20241231 Property Plant And Equipment 98645.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Work In Progress;
0001213900-25-042476 20241231 Property Plant And Equipment 51855.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Office Equipment;
0001213900-25-042476 20241231 Purchase Of Property Plant And Equipment Classified As Investing Activities 1462166.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Reclassification Adjustments On Exchange Differences On Translation Net Of Tax -2696335.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Reclassification Adjustments On Exchange Differences On Translation Net Of Tax 1584687.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Rental Expense 449408.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Repayment Of Operating Leases Liabilities Classified As Financing Activities 375712.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Repayments Of Borrowings Classified As Financing Activities 107240.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Reserve Of Exchange Differences On Translation -4387851.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Reserve Of Exchange Differences On Translation -981534.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Reserve Of Sharebased Payments 44009131.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Retained Earnings 44385412.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Revenue 90798144.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Revenue 51018808.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Technology Development Solutions And Consultancy;
0001213900-25-042476 20241231 Revenue 27824891.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Revenue From Rendering Of Services Related Party Transactions 1304478.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Revenue From Sale Of Goods 89581700.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Revenue From Sale Of Goods 124388391.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Shortterm Borrowings 677277.0000 MYR 0 ifrs/2024
0001213900-25-042476 20221231 Weighted Average Shares 35115.0000 shares 4 ifrs/2024 Giving retroactive effect to the 1 to 49 reverse share split effected on November 5, 2024 and 1 to 20 reverse share split effected on April 3, 2025
0001213900-25-042476 20211231 Equity 19734502.0000 MYR 0 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20221231 Equity 24274514.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Fair Value Reserve -2148458.0000 MYR 0 0001213900-25-042476
0001213900-25-042476 20231231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20231231 Gains Losses On Exchange Differences On Translation Net Of Tax 2696335.0000 MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20221231 Income Taxes Paid Refund Classified As Operating Activities -23009.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Increase Decrease Through Disposal Of Subsidiary MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20241231 Increase Decrease Through Disposal Of Subsidiary 8793466.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20221231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20221231 Increase Decrease Through Revaluation Reserves -21402132.0000 MYR 4 0001213900-25-042476 Components Of Equity= Parent;
0001213900-25-042476 20241231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Capital Reserve;
0001213900-25-042476 20221231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Intangible Assets With Indefinite Useful Life= A I Powered Travel Platform Software;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Credit Service Management System;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 6722800.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Credit Service Management System;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 222941.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Other Software Package;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 14607162.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Socializer Messenger Platform Software;
0001213900-25-042476 20241231 Interest Paid Classified As Financing Activities 42427.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Issue Of Equity 12907427.0000 MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20231231 Issue Of Equity 30881704.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20241231 Issue Of Equity MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20231231 Liabilities 25077774.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Loans And Advances To Customers 10283529.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Longterm Borrowings 245322.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Financial Assets At Fair Value Through Profit Or Loss USD 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Lease Liabilities 37553.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Noncurrent Liabilities 59489.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Other Comprehensive Income -52665734.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Other Comprehensive Income -11780989.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax 42312226.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20241231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -1329391.0000 MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20231231 Proceeds From Sales Of Investments Accounted For Using Equity Method 27423012.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Proceeds From Sales Of Investments Accounted For Using Equity Method 1678000.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities MYR 4 ifrs/2024
0001213900-25-042476 20241231 Professional Fee 2900939.0000 USD 4 0001213900-25-042476
0001213900-25-042476 20231231 Professional Fees Expense 6364322.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Profit Loss -2451036.0000 MYR 4 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20241231 Profit Loss MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20221231 Profit Loss Attributable To Noncontrolling Interests -1270065.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Profit Loss Attributable To Owners Of Parent 21585041.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Profit Loss Before Tax 7685243.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Profit Loss From Continuing Operations 4695816.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Business Strategy And Consultancy;
0001213900-25-042476 20231231 Profit Loss From Continuing Operations 33198525.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Profit Loss From Continuing Operations 335203.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Other Segments;
0001213900-25-042476 20221231 Property Plant And Equipment 54213.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Computer Software;
0001213900-25-042476 20221231 Property Plant And Equipment 35789.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Office Equipment;
0001213900-25-042476 20221231 Property Plant And Equipment MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Work In Progress;
0001213900-25-042476 20221231 Property Plant And Equipment 127650.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Computer Software;
0001213900-25-042476 20231231 Property Plant And Equipment 3198123.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Property Plant And Equipment MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Work In Progress;
0001213900-25-042476 20231231 Property Plant And Equipment 361505.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Fixtures And Fittings;
0001213900-25-042476 20241231 Property Plant And Equipment 156139.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Computer Software;
0001213900-25-042476 20241231 Property Plant And Equipment MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Work In Progress;
0001213900-25-042476 20241231 Property Plant And Equipment 2561914.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount;
0001213900-25-042476 20241231 Property Plant And Equipment 168940.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Fixtures And Fittings;
0001213900-25-042476 20241231 Property Plant And Equipment 231810.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Office Equipment;
0001213900-25-042476 20241231 Property Plant And Equipment 1839838.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Office Renovation;
0001213900-25-042476 20241231 Property Plant And Equipment 98645.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Work In Progress;
0001213900-25-042476 20241231 Property Plant And Equipment 573084.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount;
0001213900-25-042476 20241231 Purchase Of Intangible Assets Classified As Investing Activities 10239106.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Purchase Of Property Plant And Equipment Classified As Investing Activities 1668951.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Purchase Of Property Plant And Equipment Classified As Investing Activities 1991399.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Repayment Of Operating Leases Liabilities Classified As Financing Activities 718960.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Repayment Of Operating Leases Liabilities Classified As Financing Activities 160827.0000 USD 4 0001213900-25-042476
0001213900-25-042476 20231231 Repayments Of Borrowings Classified As Financing Activities 120575.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Repayments Of Borrowings Classified As Financing Activities 23989.0000 USD 4 ifrs/2024
0001213900-25-042476 20221231 Revenue 17681457.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments; Segments= Business Strategy And Consultancy;
0001213900-25-042476 20241231 Revenue 124388391.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Revenue From Rendering Of Services Related Party Transactions USD 4 ifrs/2024
0001213900-25-042476 20221231 Revenue From Sale Of Goods 34265404.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Rightofuse Assets 539443.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Trade And Other Current Payables 4415133.0000 USD 0 ifrs/2024 Classes Of Financial Liabilities= Trade And Other Current Payables;
0001213900-25-042476 20241231 Trade And Other Current Payables To Related Parties USD 0 ifrs/2024
0001213900-25-042476 20241231 Trade And Other Current Receivables 30009175.0000 USD 0 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Amortisation Expense MYR 4 ifrs/2024
0001213900-25-042476 20221231 Adjustments For Decrease Increase In Gain On Disposal Of Financial Assets At Fair Value Through Profit And Loss -1542200.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Decrease Increase In Loan Receivable -38969081.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Adjustments For Depreciation And Amortisation Expense 318108.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Depreciation And Amortisation Expense 399718.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Depreciation And Amortisation Expense 89414.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Loans And Advances 53252.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Increase Decrease In Deferred Income Other Than Contract Liabilities MYR 4 ifrs/2024
0001213900-25-042476 20241231 Adjustments For Increase Decrease In Trade And Other Payables 20982434.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Adjustments For Loss On Disposals Property Plant And Equipment MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Adjustments For Loss On Disposals Property Plant And Equipment USD 4 0001213900-25-042476
0001213900-25-042476 20221231 Adjustments For Property And Equipment Written Off 12.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20221231 Assets 12962743.0000 MYR 0 ifrs/2024 Products And Services= Other Services; Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20231231 Assets 118047637.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Capital Reserve 1461292.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Cash And Bank Balances At Central Banks 8100899.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Financing Activities 34528608.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Cash Flows From Used In Investing Activities -48644380.0000 USD 4 ifrs/2024
0001213900-25-042476 20231231 Comprehensive Income Attributable To Noncontrolling Interests -2451036.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Comprehensive Income Attributable To Owners Of Parent -17464895.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Cost Of Sales 15384017.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Cost Of Sales 11075069.0000 MYR 4 ifrs/2024 Products And Services= Consultant Fee;
0001213900-25-042476 20231231 Cost Of Sales 1098800.0000 MYR 4 ifrs/2024 Products And Services= I T Expenses;
0001213900-25-042476 20241231 Cost Of Sales 4948193.0000 USD 4 ifrs/2024
0001213900-25-042476 20241231 Current Lease Liabilities 368501.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Current Tax Assets 73976.0000 USD 0 ifrs/2024
0001213900-25-042476 20241231 Current Tax Liabilities Current USD 0 ifrs/2024
0001213900-25-042476 20241231 Depreciation Expense 1064216.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Depreciation Rightofuse Assets 238048.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Other Comprehensive Income -21402132.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Diluted Earnings Loss Per Share 614.7000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Diluted Earnings Loss Per Share 0.5900 USD 4 ifrs/2024 Financial Effect Of Transition From Previous G A A P To I F R Ss= Previous G A A P;
0001213900-25-042476 20221231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Dividends Paid 476411.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Dividends Paid MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20231231 Dividends Paid 476411.0000 MYR 4 ifrs/2024 Components Of Equity= Retained Earnings;
0001213900-25-042476 20231231 Dividends Paid Classified As Financing Activities 476411.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Dividends Paid Other Shares USD 4 ifrs/2024
0001213900-25-042476 20231231 Effect Of Exchange Rate Changes On Cash And Cash Equivalents MYR 4 ifrs/2024
0001213900-25-042476 20231231 Employee Benefits Expense 24770668.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Employee Benefits Expense 6811397.0000 USD 4 ifrs/2024
0001213900-25-042476 20211231 Equity 6532560.0000 MYR 0 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20211231 Equity MYR 0 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20231231 Equity 92969863.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Equity -2148458.0000 MYR 0 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20241231 Equity -1255.0000 USD 0 ifrs/2024 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Equity Attributable To Owners Of Parent 86323071.0000 USD 0 ifrs/2024
0001213900-25-042476 20231231 Finance Costs 92587.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Gains Losses On Exchange Differences On Translation Net Of Tax -7084186.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Gains Losses On Exchange Differences On Translation Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20241231 Impairment Loss Impairment Gain And Reversal Of Impairment Loss Determined In Accordance With I F R S9 238056.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Impairment Loss Recognised In Profit Or Loss Trade Receivables 1571162.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Income Tax Expense Continuing Operations 6590981.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Increase Decrease Through Disposal Of Subsidiary 8793466.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20231231 Increase Decrease Through Revaluation Reserves 2378581.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Increase Decrease Through Revaluation Reserves -45581548.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Noncontrolling Interests;
0001213900-25-042476 20241231 Increase Decrease Through Revaluation Reserves -45581548.0000 MYR 4 0001213900-25-042476 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20241231 Increase Decrease Through Revaluation Reserves MYR 4 0001213900-25-042476 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill 111594.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Other Software Package;
0001213900-25-042476 20231231 Intangible Assets Other Than Goodwill MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Socializer Messenger Platform Software;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 6559803.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Cost; Intangible Assets With Indefinite Useful Life= Finance Management System;
0001213900-25-042476 20241231 Intangible Assets Other Than Goodwill 6722800.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Net Carrying Amount; Intangible Assets With Indefinite Useful Life= Credit Service Management System;
0001213900-25-042476 20241231 Loan Advance And Financing To Customersin Dollars 6562292.0000 USD 0 0001213900-25-042476
0001213900-25-042476 20231231 Loans And Advances To Customers 15378236.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Loans And Advances To Customers 16845821.0000 USD 0 ifrs/2024 Classes Of Financial Assets= Loan Receivables;
0001213900-25-042476 20241231 Noncontrolling Interests -5611.0000 MYR 0 ifrs/2024
0001213900-25-042476 20231231 Noncurrent Liabilities 2090654.0000 MYR 0 ifrs/2024
0001213900-25-042476 20241231 Other Comprehensive Income Before Tax MYR 4 ifrs/2024 Components Of Equity= Capital Reserve;
0001213900-25-042476 20241231 Other Comprehensive Income Before Tax 41756210.0000 MYR 4 ifrs/2024 Components Of Equity= Reserve Of Change In Value Of Time Value Of Options;
0001213900-25-042476 20221231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -7996156.0000 MYR 4 ifrs/2024
0001213900-25-042476 20221231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20221231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -6726091.0000 MYR 4 ifrs/2024 Components Of Equity= Parent;
0001213900-25-042476 20231231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax MYR 4 ifrs/2024 Components Of Equity= Issued Capital;
0001213900-25-042476 20241231 Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax -7084186.0000 MYR 4 ifrs/2024 Components Of Equity= Reserve Of Exchange Differences On Translation;
0001213900-25-042476 20241231 Proceed From Initial Public Offering MYR 4 0001213900-25-042476
0001213900-25-042476 20221231 Proceeds From Disposal Of Financial Assets At Fair Value Through Profit And Loss 2789250.0000 MYR 4 0001213900-25-042476
0001213900-25-042476 20231231 Proceeds From Disposal Of Financial Assets At Fair Value Through Profit And Loss MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Proceeds From Sales Of Investments Accounted For Using Equity Method 7501333.0000 MYR 4 ifrs/2024
0001213900-25-042476 20241231 Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities MYR 4 ifrs/2024
0001213900-25-042476 20221231 Profit Loss 20314976.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Profit Loss 33215140.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Profit Loss Attributable To Owners Of Parent 35666176.0000 MYR 4 ifrs/2024
0001213900-25-042476 20231231 Profit Loss Before Tax 32595442.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20241231 Profit Loss Before Tax 34356110.0000 MYR 4 ifrs/2024 Segment Consolidation Items= Operating Segments;
0001213900-25-042476 20221231 Property Plant And Equipment MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Work In Progress;
0001213900-25-042476 20231231 Property Plant And Equipment 653590.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation;
0001213900-25-042476 20231231 Property Plant And Equipment 137717.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation; Classes Of Property Plant And Equipment= Fixtures And Fittings;
0001213900-25-042476 20231231 Property Plant And Equipment 223788.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Fixtures And Fittings;
0001213900-25-042476 20231231 Property Plant And Equipment 304609.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Cost; Classes Of Property Plant And Equipment= Office Equipment;
0001213900-25-042476 20241231 Property Plant And Equipment 1048946.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Accumulated Amortisation And Depreciation;
0001213900-25-042476 20241231 Property Plant And Equipment 222681.0000 MYR 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Computer Software;
0001213900-25-042476 20241231 Property Plant And Equipment 37791.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Fixtures And Fittings;
0001213900-25-042476 20241231 Property Plant And Equipment 411560.0000 USD 0 ifrs/2024 Carrying Amount Accumulated Depreciation Amortisation And Impairment And Gross Carrying Amount= Gross Carrying Amount; Classes Of Property Plant And Equipment= Office Renovation;
0001213900-25-042476 20241231 Repayments Of Other Borrowings MYR 4 0001213900-25-042476
0001213900-25-042476 20241231 Revenue From Rendering Of Services Related Party Transactions MYR 4 ifrs/2024

Description
Field Name Field Description
adsh Accession Number. The 20-character string formed from the 18-digit number assigned by the SEC to each EDGAR submission.
tag The unique identifier (name) for a tag in a specific taxonomy release.
version For a standard tag, an identifier for the taxonomy; otherwise the accession number where the tag was defined.
ddate The end date for the data value, rounded to the nearest month end.
qtrs The count of the number of quarters represented by the data value, rounded to the nearest whole number. “0” indicates it is a point-in-time value.
uom The unit of measure for the value.
segments Tags used to represent axis and member reporting.
coreg If specified, indicates a specific co-registrant, the parent company, or other entity (e.g., guarantor). NULL indicates the consolidated entity.
value The value. This is not scaled, it is as found in the Interactive Data file, but is limited to four digits to the right of the decimal point.
footnote The text of any superscripted footnotes on the value, as shown on the statement page, truncated to 512 characters, or if there is no footnote, then this field will be blank.

Tags

tag version custom abstract datatype iord crdr tlabel doc
Impairment Loss Impairment Gain And Reversal Of Impairment Loss Determined In Accordance With I F R S9 ifrs/2024 0 0 monetary D D Impairment loss (impairment gain and reversal of impairment loss) determined in accordance with IFRS 9 The amount of impairment loss, impairment gain or reversal of impairment loss that is recognised in profit or loss in accordance with paragraph 5.5.8 of IFRS 9 and that arises from applying the impairment requirements in Section 5.5 of IFRS 9.
Deferred Initial Public Expense 0001213900-25-042476 1 0 monetary D D Deferred Initial Public Expense Deferred Initial Public expense.
Current Lease Liabilities ifrs/2024 0 0 monetary I C Current lease liabilities The amount of current lease liabilities. [Refer: Lease liabilities]
Intangible Assets Other Than Goodwill ifrs/2024 0 0 monetary I D Intangible assets other than goodwill The amount of identifiable non-monetary assets without physical substance. This amount does not include goodwill. [Refer: Goodwill]
Profit Loss Before Tax ifrs/2024 0 0 monetary D C Profit (loss) before tax The profit (loss) before tax expense or income. [Refer: Profit (loss)]
Purchase Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 0 0 monetary D C Purchase of property, plant and equipment, classified as investing activities The cash outflow for the purchases of property, plant and equipment, classified as investing activities. [Refer: Property, plant and equipment]
Repayments Of Borrowings Classified As Financing Activities ifrs/2024 0 0 monetary D C Repayments of borrowings, classified as financing activities The cash outflow to settle borrowings, classified as financing activities. [Refer: Borrowings]
Current Tax Assets ifrs/2024 0 0 monetary I D Current tax assets The excess of amount paid for current tax in respect of current and prior periods over the amount due for those periods. Current tax is the amount of income taxes payable (recoverable) in respect of the taxable profit (tax loss) for a period.
Cash And Bank Balances At Central Banks ifrs/2024 0 0 monetary I D Cash and bank balances at central banks The amount of cash and bank balances held at central banks.
Adjustments For Decrease Increase In Financial Assets Measured At Fair Value Through Other Comprehensive Income ifrs/2024 0 0 monetary D D Adjustments for decrease (increase) in financial assets measured at fair value through other comprehensive income Adjustments for decrease (increase) in financial assets measured at fair value through other comprehensive income to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Financial assets; Financial assets at fair value through other comprehensive income; Profit (loss)]
Adjustments For Decrease Increase In Trade And Other Receivables ifrs/2024 0 0 monetary D D Adjustments for decrease (increase) in trade and other receivables Adjustments for decrease (increase) in trade and other receivables to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Trade and other receivables; Profit (loss)]
Dividends Paid ifrs/2024 0 0 monetary D D Dividends recognised as distributions to owners The amount of dividends recognised as distributions to owners.
Dividends Paid Other Shares ifrs/2024 0 0 monetary D D Dividends paid, other shares The amount of dividends paid by the entity on shares other than ordinary shares. [Refer: Ordinary shares [member]]
Employee Benefits Expense ifrs/2024 0 0 monetary D D Employee benefits expense The expense of all forms of consideration given by an entity in exchange for a service rendered by employees or for the termination of employment.
Longterm Borrowings ifrs/2024 0 0 monetary I C Non-current portion of non-current borrowings The non-current portion of non-current borrowings. [Refer: Borrowings]
Other Income ifrs/2024 0 0 monetary D C Other income The amount of operating income that the entity does not separately disclose in the same statement or note.
Reserve Of Exchange Differences On Translation ifrs/2024 0 0 monetary I C Reserve of exchange differences on translation A component of equity representing exchange differences on translation of financial statements recognised in other comprehensive income and accumulated in equity. [Refer: Other comprehensive income]
Retained Earnings ifrs/2024 0 0 monetary I C Retained earnings A component of equity representing the entity's cumulative undistributed earnings or deficit.
Proceeds From Disposal Of Financial Assets At Fair Value Through Profit And Loss 0001213900-25-042476 1 0 monetary D D Proceeds From Disposal Of Financial Assets At Fair Value Through Profit And Loss Represents the value of proceeds from disposal of financial assets, at fair value through profit and loss.
Equity And Liabilities ifrs/2024 0 0 monetary I C Equity and liabilities The amount of the entity's equity and liabilities. [Refer: Equity; Liabilities]
Professional Fees Expense ifrs/2024 0 0 monetary D D Professional fees expense The amount of fees paid or payable for professional services.
Cash Flows From Used In Operations Before Changes In Working Capital ifrs/2024 0 0 monetary D Cash flows from (used in) operations before changes in working capital The cash inflow (outflow) from the entity's operations before changes in working capital.
Noncurrent Financial Assets At Fair Value Through Profit Or Loss ifrs/2024 0 0 monetary I D Non-current financial assets at fair value through profit or loss The amount of non-current financial assets measured at fair value through profit or loss. [Refer: Financial assets at fair value through profit or loss]
Comprehensive Income ifrs/2024 0 0 monetary D C Comprehensive income The amount of change in equity resulting from transactions and other events, other than those changes resulting from transactions with owners in their capacity as owners.
Trade And Other Current Payables ifrs/2024 0 0 monetary I C Trade and other current payables The amount of current trade payables and current other payables. [Refer: Current trade payables; Other current payables]
Fair Value Reserve 0001213900-25-042476 1 0 monetary I C Fair Value Reserve Fair value reserve.
Loan Advance And Financing To Customersin Dollars 0001213900-25-042476 1 0 monetary I D Loan Advance And Financing To Customersin Dollars
Loss On Dissolution Of Subsidiaries 0001213900-25-042476 1 0 monetary D D Loss On Dissolution Of Subsidiaries Loss on dissolution of subsidiaries.
Current Liabilities ifrs/2024 0 0 monetary I C Current liabilities The amount of liabilities that: (a) the entity expects to settle in its normal operating cycle; (b) the entity holds primarily for the purpose of trading; (c) are due to be settled within twelve months after the reporting period; or (d) the entity does not have the right at the end of the reporting period to defer settlement for at least twelve months after the reporting period.
Current Warrant Liability ifrs/2024 0 0 monetary I C Current warrant liability The amount of current warrant liabilities. [Refer: Warrant liability]
Deferred Tax Assets ifrs/2024 0 0 monetary I D Deferred tax assets The amounts of income taxes recoverable in future periods in respect of: (a) deductible temporary differences; (b) the carryforward of unused tax losses; and (c) the carryforward of unused tax credits. [Refer: Temporary differences [member]; Unused tax credits [member]; Unused tax losses [member]]
Effect Of Exchange Rate Changes On Cash And Cash Equivalents ifrs/2024 0 0 monetary D D Effect of exchange rate changes on cash and cash equivalents The effect of exchange rate changes on cash and cash equivalents held or due in a foreign currency. [Refer: Cash and cash equivalents]
Income Tax Expense Continuing Operations ifrs/2024 0 0 monetary D D Tax expense (income) The aggregate amount included in the determination of profit (loss) for the period in respect of current tax and deferred tax. [Refer: Current tax expense (income); Deferred tax expense (income)]
Other Comprehensive Income Before Tax ifrs/2024 0 0 monetary D C Other comprehensive income, before tax The amount of other comprehensive income, before tax. [Refer: Other comprehensive income]
Profit Loss Attributable To Noncontrolling Interests ifrs/2024 0 0 monetary D C Profit (loss), attributable to non-controlling interests The profit (loss) from continuing and discontinued operations attributable to non-controlling interests. [Refer: Profit (loss); Non-controlling interests]
Purchase Of Intangible Assets Classified As Investing Activities ifrs/2024 0 0 monetary D C Purchase of intangible assets, classified as investing activities The cash outflow for the purchases of intangible assets, classified as investing activities. [Refer: Intangible assets other than goodwill]
Revenue From Rendering Of Services Related Party Transactions ifrs/2024 0 0 monetary D C Revenue from rendering of services, related party transactions The amount of revenue arising from the rendering of services in related party transactions. [Refer: Revenue; Total for all related parties [member]]
Adjustments For Loss On Disposals Property Plant And Equipment 0001213900-25-042476 1 0 monetary D D Adjustments For Loss On Disposals Property Plant And Equipment Adjustments for loss on disposals property plant and equipment.
Cash And Cash Equivalents ifrs/2024 0 0 monetary I D Cash and cash equivalents The amount of cash on hand and demand deposits, along with short-term, highly liquid investments that are readily convertible to known amounts of cash and that are subject to an insignificant risk of changes in value. [Refer: Cash; Cash equivalents]
Increase Decrease Through Revaluation Reserves 0001213900-25-042476 1 0 monetary D C Increase Decrease Through Revaluation Reserves The increase (decrease) in equity resulting from revaluation reserves.
Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Trade And Other Receivables ifrs/2024 0 0 monetary D D Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss, trade and other receivables Adjustments for impairment loss (reversal of impairment loss) on trade and other receivables recognised in profit or loss to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Trade and other receivables; Impairment loss; Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss; Impairment loss (reversal of impairment loss) recognised in profit or loss]
Noncurrent Liabilities ifrs/2024 0 0 monetary I C Non-current liabilities The amount of liabilities that do not meet the definition of current liabilities. [Refer: Current liabilities]
Assets ifrs/2024 0 0 monetary I D Assets The amount of a present economic resource controlled by the entity as a result of past events. Economic resource is a right that has the potential to produce economic benefits.
Diluted Earnings Loss Per Share ifrs/2024 0 0 perShare D Diluted earnings (loss) per share The amount of profit (loss) attributable to ordinary equity holders of the parent entity (the numerator), divided by the weighted average number of ordinary shares outstanding during the period (the denominator), both adjusted for the effects of all dilutive potential ordinary shares. [Refer: Ordinary shares [member]; Weighted average [member]]
Cash Repayments Of Advances And Loans From Related Parties ifrs/2024 0 0 monetary D C Cash repayments of advances and loans from related parties The cash outflow for repayments of advances and loans from related parties. [Refer: Total for all related parties [member]]
Reserve Of Sharebased Payments ifrs/2024 0 0 monetary I C Reserve of share-based payments A component of equity resulting from share-based payments.
Comprehensive Income Attributable To Owners Of Parent ifrs/2024 0 0 monetary D C Comprehensive income, attributable to owners of parent The amount of comprehensive income attributable to owners of the parent. [Refer: Comprehensive income]
Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax ifrs/2024 0 0 monetary D C Other comprehensive income that will be reclassified to profit or loss, net of tax The amount of other comprehensive income that will be reclassified to profit or loss, net of tax. [Refer: Other comprehensive income]
Other Operating Income Expense ifrs/2024 0 0 monetary D C Other operating income (expense) The amount of operating income (expense) that the entity does not separately disclose in the same statement or note.
Shortterm Borrowings ifrs/2024 0 0 monetary I C Current borrowings The amount of current borrowings. [Refer: Borrowings]
Adjustments For Allowance For Expected Credit Losses On Trade Receivables 0001213900-25-042476 1 0 monetary D D Adjustments For Allowance For Expected Credit Losses On Trade Receivables The amount of allowance for expected credit losses on trade receivables.
Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 0 0 monetary D D Proceeds from sales of property, plant and equipment, classified as investing activities The cash inflow from sales of property, plant and equipment, classified as investing activities. [Refer: Property, plant and equipment]
Profit Loss Attributable To Owners Of Parent ifrs/2024 0 0 monetary D C Profit (loss), attributable to owners of parent The profit (loss) from continuing and discontinued operations attributable to owners of the parent. [Refer: Profit (loss)]
Property Plant And Equipment ifrs/2024 0 0 monetary I D Property, plant and equipment The amount of tangible assets that: (a) are held for use in the production or supply of goods or services, for rental to others, or for administrative purposes; and (b) are expected to be used during more than one period. Note that right-of-use assets are not included. [Contrast: Property, plant and equipment including right-of-use assets]
Adjustments For Decrease Increase In Gain On Disposal Of Financial Assets At Fair Value Through Profit And Loss 0001213900-25-042476 1 0 monetary D D Adjustments For Decrease Increase In Gain On Disposal Of Financial Assets At Fair Value Through Profit And Loss Adjustments for decrease (increase) in financial assets gain on disposal of financial assets, at fair value through profit and loss.
Repayments Of Other Borrowings 0001213900-25-042476 1 0 monetary D C Repayments Of Other Borrowings Represent the amount of repayments of other borrowings.
Revenue From Sale Of Goods ifrs/2024 0 0 monetary D C Revenue from sale of goods The amount of revenue arising from the sale of goods. [Refer: Revenue]
Adjustments For Gain Loss On Disposals Property Plant And Equipment ifrs/2024 0 0 monetary D C Adjustments for gain (loss) on disposals, property, plant and equipment Adjustments for gain (loss) on disposals of property, plant and equipment to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss); Property, plant and equipment; Disposals, property, plant and equipment]
Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss ifrs/2024 0 0 monetary D D Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Impairment loss (reversal of impairment loss) recognised in profit or loss]
Adjustments For Interest Income ifrs/2024 0 0 monetary D C Adjustments for interest income Adjustments for interest income expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Interest income; Profit (loss)]
Amortisation Expense ifrs/2024 0 0 monetary D D Amortisation expense The amount of amortisation expense. Amortisation is the systematic allocation of depreciable amounts of intangible assets over their useful lives.
Capital Reserve ifrs/2024 0 0 monetary I C Capital reserve A component of equity representing the capital reserves.
Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2024 0 0 monetary D C Cash flows used in obtaining control of subsidiaries or other businesses, classified as investing activities The aggregate cash flows used in obtaining control of subsidiaries or other businesses, classified as investing activities. [Refer: Total for all subsidiaries [member]]
Depreciation Rightofuse Assets ifrs/2024 0 0 monetary D Depreciation, right-of-use assets The amount of depreciation of right-of-use assets. [Refer: Depreciation and amortisation expense; Right-of-use assets]
Equity Attributable To Owners Of Parent ifrs/2024 0 0 monetary I C Equity attributable to owners of parent The amount of equity attributable to the owners of the parent. This specifically excludes non-controlling interest.
Interest Paid Classified As Financing Activities ifrs/2024 0 0 monetary D C Interest paid, classified as financing activities The cash outflow for interest paid, classified as financing activities.
Reclassification Adjustments On Exchange Differences On Translation Net Of Tax ifrs/2024 0 0 monetary D D Reclassification adjustments on exchange differences on translation of foreign operations, net of tax The amount of reclassification adjustments related to exchange differences when the financial statements of foreign operations are translated, net of tax. Reclassification adjustments are amounts reclassified to profit (loss) in the current period that were recognised in other comprehensive income in the current or previous periods. [Refer: Other comprehensive income]
Adjustments For Property And Equipment Written Off 0001213900-25-042476 1 0 monetary D D Adjustments For Property And Equipment Written Off Represent the amount of property and equipment written off.
Proceeds From Repayment Warrant Liabilities 0001213900-25-042476 1 0 monetary D C Proceeds From Repayment Warrant Liabilities Proceeds from warrant liabilities.
Adjustments For Amortisation Expense ifrs/2024 0 0 monetary D D Adjustments for amortisation expense Adjustments for amortisation expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss); Depreciation and amortisation expense]
Cash Flows From Used In Financing Activities ifrs/2024 0 0 monetary D D Cash flows from (used in) financing activities The cash flows from (used in) financing activities, which are activities that result in changes in the size and composition of the contributed equity and borrowings of the entity, from continuing and discontinued operations.
Dividends Paid Classified As Financing Activities ifrs/2024 0 0 monetary D C Dividends paid, classified as financing activities The cash outflow for dividends paid by the entity, classified as financing activities.
Impairment Loss Recognised In Profit Or Loss Trade Receivables ifrs/2024 0 0 monetary D D Impairment loss recognised in profit or loss, trade receivables The amount of impairment loss recognised in profit or loss for trade receivables. [Refer: Impairment loss recognised in profit or loss; Trade receivables]
Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings ifrs/2024 0 0 monetary D C Increase (decrease) through transfer between revaluation surplus and retained earnings, equity The increase (decrease) in equity resulting from transfers between a revaluation surplus and retained earnings. [Refer: Retained earnings; Revaluation surplus]
Liabilities ifrs/2024 0 0 monetary I C Liabilities The amount of a present obligation of the entity to transfer an economic resource as a result of past events. Economic resource is a right that has the potential to produce economic benefits.
Noncurrent Assets ifrs/2024 0 0 monetary I D Non-current assets The amount of assets that do not meet the definition of current assets. [Refer: Current assets]
Profit Loss ifrs/2024 0 0 monetary D C Profit (loss) The total of income less expenses from continuing and discontinued operations, excluding the components of other comprehensive income. [Refer: Other comprehensive income]
Rental Expense ifrs/2024 0 0 monetary D D Rental expense The amount of expense recognised on rental activities.
Weighted Average Shares ifrs/2024 0 0 shares D Weighted average number of ordinary shares used in calculating basic earnings per share The number of ordinary shares outstanding at the beginning of the period, adjusted by the number of ordinary shares bought back or issued during the period multiplied by a time-weighting factor.
Proceed From Initial Public Offering 0001213900-25-042476 1 0 monetary D D Proceed From Initial Public Offering The cash inflow from initial public offering.
Adjusted Weighted Average Shares ifrs/2024 0 0 shares D Weighted average number of ordinary shares used in calculating diluted earnings per share The weighted average number of ordinary shares outstanding plus the weighted average number of ordinary shares that would be issued on the conversion of all the dilutive potential ordinary shares into ordinary shares. [Refer: Ordinary shares [member]; Weighted average [member]]
Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Loans And Advances ifrs/2024 0 0 monetary D D Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss, loans and advances Adjustments for impairment loss (reversal of impairment loss) on loans and advances recognised in profit or loss to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Adjustments for impairment loss (reversal of impairment loss) recognised in profit or loss]
Adjustments For Interest Expense ifrs/2024 0 0 monetary D D Adjustments for interest expense Adjustments for interest expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Interest expense; Profit (loss)]
Cash Flows From Used In Investing Activities ifrs/2024 0 0 monetary D D Cash flows from (used in) investing activities The cash flows from (used in) investing activities, which are the acquisition and disposal of long-term assets and other investments not included in cash equivalents, from continuing and discontinued operations.
Cost Of Sales ifrs/2024 0 0 monetary D D Cost of sales The amount of all expenses directly or indirectly attributed to the goods or services sold. Attributed expenses include, but are not limited to, costs previously included in the measurement of inventory that has now been sold, such as depreciation and maintenance of factory buildings and equipment used in the production process, unallocated production overheads, and abnormal amounts of production costs of inventories.
Depreciation Expense ifrs/2024 0 0 monetary D D Depreciation expense The amount of depreciation expense. Depreciation is the systematic allocation of depreciable amounts of tangible assets over their useful lives.
Equity ifrs/2024 0 0 monetary I C Equity The amount of residual interest in the assets of the entity after deducting all its liabilities.
Gains Losses On Exchange Differences On Translation Net Of Tax ifrs/2024 0 0 monetary D C Gains (losses) on exchange differences on translation of foreign operations, net of tax The gains (losses) recognised in other comprehensive income on exchange differences on the translation of financial statements of foreign operations, net of tax, before reclassification adjustments. [Refer: Other comprehensive income]
Increase Decrease Through Disposal Of Subsidiary ifrs/2024 0 0 monetary D C Increase (decrease) through disposal of subsidiary, equity The increase (decrease) in equity resulting from the disposal of subsidiaries. [Refer: Total for all subsidiaries [member]]
Noncurrent Financial Assets At Fair Value Through Other Comprehensive Income ifrs/2024 0 0 monetary I D Non-current financial assets at fair value through other comprehensive income The amount of non-current financial assets at fair value through other comprehensive income. [Refer: Financial assets at fair value through other comprehensive income]
Purchase Of Financial Assets Measured At Fair Value Through Profit And Loss 0001213900-25-042476 1 0 monetary D C Purchase Of Financial Assets Measured At Fair Value Through Profit And Loss Purchase of financial assets measured at fair value through profit and loss.
Adjustments For Decrease Increase In Loan Receivable 0001213900-25-042476 1 0 monetary D D Adjustments For Decrease Increase In Loan Receivable Adjustments for decrease (increase) in loan receivable.
Adjustments For Depreciation And Amortisation Expense ifrs/2024 0 0 monetary D D Adjustments for depreciation and amortisation expense Adjustments for depreciation and amortisation expense to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Depreciation and amortisation expense; Profit (loss)]
Adjustments For Gains Losses On Change In Fair Value Of Derivatives ifrs/2024 0 0 monetary D C Adjustments for gains (losses) on change in fair value of derivatives Adjustments for gains (losses) on changes in the fair value of derivatives to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: At fair value [member]; Derivatives [member]; Profit (loss)]
Adjustments For Increase Decrease In Trade And Other Payables ifrs/2024 0 0 monetary D D Adjustments for increase (decrease) in trade and other payables Adjustments for increase (decrease) in trade and other payables to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Trade and other payables; Profit (loss)]
Cash Flows From Used In Operations ifrs/2024 0 0 monetary D Cash flows from (used in) operations The cash from (used in) the entity's operations.
Comprehensive Income Attributable To Noncontrolling Interests ifrs/2024 0 0 monetary D C Comprehensive income, attributable to non-controlling interests The amount of comprehensive income attributable to non-controlling interests. [Refer: Comprehensive income; Non-controlling interests]
Current Assets ifrs/2024 0 0 monetary I D Current assets The amount of assets that the entity (a) expects to realise or intends to sell or consume in its normal operating cycle; (b) holds primarily for the purpose of trading; (c) expects to realise within twelve months after the reporting period; or (d) classifies as cash or cash equivalents (as defined in IAS 7) unless the asset is restricted from being exchanged or used to settle a liability for at least twelve months after the reporting period. [Refer: Assets]
Finance Costs ifrs/2024 0 0 monetary D D Finance costs The amount of costs associated with financing activities of the entity.
Issue Of Equity ifrs/2024 0 0 monetary D C Issue of equity The increase in equity through the issue of equity instruments.
Loans And Advances To Customers ifrs/2024 0 0 monetary I D Loans and advances to customers The amount of loans and advances the entity has made to customers.
Noncontrolling Interests ifrs/2024 0 0 monetary I C Non-controlling interests The amount of equity in a subsidiary not attributable, directly or indirectly, to a parent. [Refer: Total for all subsidiaries [member]]
Noncurrent Lease Liabilities ifrs/2024 0 0 monetary I C Non-current lease liabilities The amount of non-current lease liabilities. [Refer: Lease liabilities]
Profit Loss From Continuing Operations ifrs/2024 0 0 monetary D C Profit (loss) from continuing operations The profit (loss) from continuing operations. [Refer: Continuing operations, unless line item indicates otherwise [member]; Profit (loss)]
Revenue ifrs/2024 0 0 monetary D C Revenue The income arising in the course of an entity's ordinary activities. Income is increases in assets, or decreases in liabilities, that result in increases in equity, other than those relating to contributions from holders of equity claims.
Professional Fee 0001213900-25-042476 1 0 monetary D D Professional Fee The amount of professional fees.
Adjustments For Increase Decrease In Contract Liabilities ifrs/2024 0 0 monetary D D Adjustments for increase (decrease) in contract liabilities Adjustments for the increase (decrease) in contract liabilities to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Contract liabilities; Profit (loss)]
Basic Earnings Loss Per Share ifrs/2024 0 0 perShare D Basic earnings (loss) per share The amount of profit (loss) attributable to ordinary equity holders of the parent entity (the numerator) divided by the weighted average number of ordinary shares outstanding during the period (the denominator).
Current Tax Liabilities Current ifrs/2024 0 0 monetary I C Current tax liabilities, current The current amount of current tax liabilities. [Refer: Current tax liabilities]
Rightofuse Assets ifrs/2024 0 0 monetary I D Right-of-use assets The amount of assets that represent a lessee's right to use an underlying asset for the lease term that do not meet the definition of investment property. Underlying asset is an asset that is the subject of a lease, for which the right to use that asset has been provided by a lessor to a lessee.
Trade And Other Current Payables To Related Parties ifrs/2024 0 0 monetary I C Current payables to related parties The amount of current payables due to related parties. [Refer: Total for all related parties [member]; Payables to related parties]
Trade And Other Current Receivables ifrs/2024 0 0 monetary I D Trade and other current receivables The amount of current trade receivables and current other receivables. [Refer: Current trade receivables; Other current receivables]
Adjustments For Increase Decrease In Deferred Income Other Than Contract Liabilities ifrs/2024 0 0 monetary D D Adjustments for increase (decrease) in deferred income other than contract liabilities Adjustments for the increase (decrease) in deferred income other than contract liabilities to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Deferred income other than contract liabilities; Profit (loss)]
Adjustments For Sharebased Payments ifrs/2024 0 0 monetary D D Adjustments for share-based payments Adjustments for share-based payments to reconcile profit (loss) to net cash flow from (used in) operating activities. [Refer: Profit (loss)]
Cash Flows From Used In Operating Activities ifrs/2024 0 0 monetary D Cash flows from (used in) operating activities The cash flows from (used in) operating activities, which are the principal revenue-producing activities of the entity and other activities that are not investing or financing activities, from continuing and discontinued operations. [Refer: Revenue]
Current Deferred Income Including Current Contract Liabilities ifrs/2024 0 0 monetary I C Current deferred income including current contract liabilities The amount of current deferred income including current contract liabilities. [Refer: Deferred income including contract liabilities]
Income Taxes Paid Refund Classified As Operating Activities ifrs/2024 0 0 monetary D C Income taxes paid (refund), classified as operating activities The cash flows from income taxes paid or refunded, classified as operating activities. [Refer: Income taxes paid (refund)]
Increase Decrease In Cash And Cash Equivalents ifrs/2024 0 0 monetary D D Increase (decrease) in cash and cash equivalents after effect of exchange rate changes The increase (decrease) in cash and cash equivalents after the effect of exchange rate changes on cash and cash equivalents held in foreign currencies. [Refer: Cash and cash equivalents; Effect of exchange rate changes on cash and cash equivalents]
Interest Received Classified As Investing Activities ifrs/2024 0 0 monetary D D Interest received, classified as investing activities The cash inflow from interest received, classified as investing activities.
Other Comprehensive Income ifrs/2024 0 0 monetary D C Other comprehensive income The amount of income and expense (including reclassification adjustments) that is not recognised in profit or loss as required or permitted by IFRSs. [Refer: IFRSs [member]]
Proceeds From Sales Of Investments Accounted For Using Equity Method ifrs/2024 0 0 monetary D D Proceeds from sales of investments accounted for using equity method The cash inflow from sales of investments accounted for using the equity method. [Refer: Investments accounted for using equity method]
Adjustments For Loss On Disposal Of Subsidiary 0001213900-25-042476 1 0 monetary D D Adjustments For Loss On Disposal Of Subsidiary Represent the amount of loss on disposal of subsidiary.
Repayment Of Operating Leases Liabilities Classified As Financing Activities 0001213900-25-042476 1 0 monetary D C Repayment Of Operating Leases Liabilities Classified As Financing Activities Represents the value of repayment of operating leases.

Description
Field Name Field Description
tag The unique identifier (name) for a tag in a specific taxonomy release.
version For a standard tag, an identifier for the taxonomy; otherwise the accession number where the tag was defined.
custom 1 if tag is custom (version=adsh), 0 if it is standard. Note: This flag is technically redundant with the version and adsh columns.
abstract 1 if the tag is not used to represent a numeric fact.
datatype If abstract=1, then NULL, otherwise the data type (e.g., monetary) for the tag.
iord If abstract=1, then NULL; otherwise, “I” if the value is a point-in time, or “D” if the value is a duration.
crdr If datatype = monetary, then the tag’s natural accounting balance (debit or credit); if not defined, then NULL.
tlabel If a standard tag, then the label text provided by the taxonomy, otherwise the text provided by the filer. A tag which had neither would have a NULL value here.
doc The detailed definition for the tag. If a standard tag, then the text provided by the taxonomy, otherwise the text assigned by the filer. Some tags have neither, and this field is NULL.

Presentation of Statements

adsh report line stmt inpth rfile tag version plabel negating
0001213900-25-042476 3 2 BS 0 H Noncurrent Financial Assets At Fair Value Through Other Comprehensive Income ifrs/2024 Financial assets, at fair value through other comprehensive income 0
0001213900-25-042476 3 3 BS 0 H Noncurrent Financial Assets At Fair Value Through Profit Or Loss ifrs/2024 Financial assets, at fair value through profit and loss 0
0001213900-25-042476 3 4 BS 0 H Property Plant And Equipment ifrs/2024 Property and equipment 0
0001213900-25-042476 3 5 BS 0 H Rightofuse Assets ifrs/2024 Right-of-use assets 0
0001213900-25-042476 3 6 BS 0 H Intangible Assets Other Than Goodwill ifrs/2024 Intangible assets 0
0001213900-25-042476 3 7 BS 0 H Loan Advance And Financing To Customersin Dollars 0001213900-25-042476 Loan receivables 0
0001213900-25-042476 3 8 BS 0 H Deferred Tax Assets ifrs/2024 Deferred tax assets 0
0001213900-25-042476 3 9 BS 0 H Noncurrent Assets ifrs/2024 Total non-current assets 0
0001213900-25-042476 3 11 BS 0 H Trade And Other Current Receivables ifrs/2024 Trade and other receivables 0
0001213900-25-042476 3 12 BS 0 H Loans And Advances To Customers ifrs/2024 Loan receivables 0
0001213900-25-042476 3 13 BS 0 H Current Tax Assets ifrs/2024 Tax recoverable 0
0001213900-25-042476 3 14 BS 0 H Cash And Bank Balances At Central Banks ifrs/2024 Cash and bank balances 0
0001213900-25-042476 3 15 BS 0 H Current Assets ifrs/2024 Total current assets 0
0001213900-25-042476 3 16 BS 0 H Assets ifrs/2024 Total assets 0
0001213900-25-042476 3 18 BS 0 H Trade And Other Current Payables ifrs/2024 Trade and other payables 0
0001213900-25-042476 3 19 BS 0 H Current Warrant Liability ifrs/2024 Warrant liabilities 0
0001213900-25-042476 3 20 BS 0 H Current Lease Liabilities ifrs/2024 Lease liabilities 0
0001213900-25-042476 3 21 BS 0 H Shortterm Borrowings ifrs/2024 Bank and other borrowings 0
0001213900-25-042476 3 22 BS 0 H Current Deferred Income Including Current Contract Liabilities ifrs/2024 Amount due to related parties 0
0001213900-25-042476 3 23 BS 0 H Current Tax Liabilities Current ifrs/2024 Income tax payable 0
0001213900-25-042476 3 24 BS 0 H Current Liabilities ifrs/2024 Total current liabilities 0
0001213900-25-042476 3 26 BS 0 H Noncurrent Lease Liabilities ifrs/2024 Lease liabilities 0
0001213900-25-042476 3 27 BS 0 H Longterm Borrowings ifrs/2024 Bank and other borrowings 0
0001213900-25-042476 3 28 BS 0 H Trade And Other Current Payables To Related Parties ifrs/2024 Amount due to related parties 0
0001213900-25-042476 3 29 BS 0 H Noncurrent Liabilities ifrs/2024 Total non-current labilities 0
0001213900-25-042476 3 30 BS 0 H Liabilities ifrs/2024 Total liabilities 0
0001213900-25-042476 3 32 BS 0 H Reserve Of Sharebased Payments ifrs/2024 Share capital 0
0001213900-25-042476 3 33 BS 0 H Capital Reserve ifrs/2024 Capital reserve 0
0001213900-25-042476 3 34 BS 0 H Fair Value Reserve 0001213900-25-042476 Fair value reserve 0
0001213900-25-042476 3 35 BS 0 H Reserve Of Exchange Differences On Translation ifrs/2024 Translation reserve 0
0001213900-25-042476 3 36 BS 0 H Retained Earnings ifrs/2024 Retained earnings 0
0001213900-25-042476 3 37 BS 0 H Equity Attributable To Owners Of Parent ifrs/2024 Attributable to equity owners of the Company 0
0001213900-25-042476 3 38 BS 0 H Noncontrolling Interests ifrs/2024 Non-controlling interests 0
0001213900-25-042476 3 39 BS 0 H Equity ifrs/2024 Total equity 0
0001213900-25-042476 3 40 BS 0 H Equity And Liabilities ifrs/2024 Total liabilities and equity 0
0001213900-25-042476 4 1 IS 0 H Revenue From Sale Of Goods ifrs/2024 Revenue 0
0001213900-25-042476 4 2 IS 0 H Revenue From Rendering Of Services Related Party Transactions ifrs/2024 Revenue - related party 0
0001213900-25-042476 4 3 IS 0 H Revenue ifrs/2024 Total revenue 0
0001213900-25-042476 4 4 IS 0 H Other Income ifrs/2024 Other income 0
0001213900-25-042476 4 5 IS 0 H Cost Of Sales ifrs/2024 Cost of services 1
0001213900-25-042476 4 6 IS 0 H Depreciation Expense ifrs/2024 Depreciation of property and equipment and right-of-use assets 1
0001213900-25-042476 4 7 IS 0 H Amortisation Expense ifrs/2024 Amortization of intangible assets 1
0001213900-25-042476 4 8 IS 0 H Employee Benefits Expense ifrs/2024 Employee benefit expense 1
0001213900-25-042476 4 9 IS 0 H Impairment Loss Recognised In Profit Or Loss Trade Receivables ifrs/2024 Provision for allowance for expected credit losses on trade and other receivables 1
0001213900-25-042476 4 10 IS 0 H Impairment Loss Impairment Gain And Reversal Of Impairment Loss Determined In Accordance With I F R S9 ifrs/2024 Provision for allowance for expected credit losses on loan receivables 1
0001213900-25-042476 4 11 IS 0 H Rental Expense ifrs/2024 Rental expenses 1
0001213900-25-042476 4 12 IS 0 H Professional Fees Expense ifrs/2024 Legal and professional fees 1
0001213900-25-042476 4 13 IS 0 H Finance Costs ifrs/2024 Finance cost 1
0001213900-25-042476 4 14 IS 0 H Other Operating Income Expense ifrs/2024 Other operating expenses 0
0001213900-25-042476 4 15 IS 0 H Profit Loss Before Tax ifrs/2024 Profit before income tax 0
0001213900-25-042476 4 16 IS 0 H Income Tax Expense Continuing Operations ifrs/2024 Income tax benefit/(expense) 1
0001213900-25-042476 4 17 IS 0 H Profit Loss ifrs/2024 Profit for the year 0
0001213900-25-042476 4 19 IS 0 H Adjustments For Decrease Increase In Financial Assets Measured At Fair Value Through Other Comprehensive Income ifrs/2024 Fair value adjustment on financial assets, at fair value through other comprehensive income 1
0001213900-25-042476 4 20 IS 0 H Reclassification Adjustments On Exchange Differences On Translation Net Of Tax ifrs/2024 Exchange differences on translating foreign operations 1
0001213900-25-042476 4 21 IS 0 H Other Comprehensive Income ifrs/2024 Other comprehensive income/(loss) 0
0001213900-25-042476 4 22 IS 0 H Comprehensive Income ifrs/2024 Total comprehensive income/(loss) for the year 0
0001213900-25-042476 4 24 IS 0 H Profit Loss Attributable To Owners Of Parent ifrs/2024 Equity owners of the Company 0
0001213900-25-042476 4 25 IS 0 H Profit Loss Attributable To Noncontrolling Interests ifrs/2024 Non-controlling interests 0
0001213900-25-042476 4 26 IS 0 H Profit Loss From Continuing Operations ifrs/2024 Total 0
0001213900-25-042476 4 28 IS 0 H Comprehensive Income Attributable To Owners Of Parent ifrs/2024 Equity owners of the Company 0
0001213900-25-042476 4 29 IS 0 H Comprehensive Income Attributable To Noncontrolling Interests ifrs/2024 Non-controlling interests 0
0001213900-25-042476 4 30 IS 0 H Comprehensive Income ifrs/2024 Total 0
0001213900-25-042476 4 31 IS 0 H Basic Earnings Loss Per Share ifrs/2024 EARNINGS PER SHARE BASIC (in Ringgits per share and Dollars per share) 0
0001213900-25-042476 4 32 IS 0 H Diluted Earnings Loss Per Share ifrs/2024 EARNINGS PER SHARE DILUTED (in Ringgits per share and Dollars per share) 0
0001213900-25-042476 4 33 IS 0 H Weighted Average Shares ifrs/2024 Weighted average number of ordinary shares used in computing earnings basic (in Shares) 0
0001213900-25-042476 4 34 IS 0 H Adjusted Weighted Average Shares ifrs/2024 Weighted average number of ordinary shares used in computing earnings diluted (in Shares) 0
0001213900-25-042476 5 12 EQ 0 H Equity ifrs/2024 Balance 0
0001213900-25-042476 5 13 EQ 0 H Profit Loss ifrs/2024 Profit for the year 0
0001213900-25-042476 5 14 EQ 0 H Increase Decrease Through Revaluation Reserves 0001213900-25-042476 Fair value gain (loss) on financial assets, at fair value through other comprehensive income 0
0001213900-25-042476 5 15 EQ 0 H Increase Decrease Through Transfer Between Revaluation Reserve And Retained Earnings ifrs/2024 Transfer upon disposal of equity instruments 0
0001213900-25-042476 5 16 EQ 0 H Gains Losses On Exchange Differences On Translation Net Of Tax ifrs/2024 Exchange differences on translating foreign operations 0
0001213900-25-042476 5 17 EQ 0 H Other Comprehensive Income Before Tax ifrs/2024 Transfer upon disposal of equity investments, fair value through other comprehensive income 0
0001213900-25-042476 5 18 EQ 0 H Dividends Paid ifrs/2024 Dividends paid 1
0001213900-25-042476 5 19 EQ 0 H Other Comprehensive Income That Will Be Reclassified To Profit Or Loss Net Of Tax ifrs/2024 Total comprehensive income for the year 0
0001213900-25-042476 5 20 EQ 0 H Increase Decrease Through Disposal Of Subsidiary ifrs/2024 Disposal of controlling interest in subsidiaries 0
0001213900-25-042476 5 21 EQ 0 H Issue Of Equity ifrs/2024 Issuance of share capital 0
0001213900-25-042476 5 22 EQ 0 H Equity ifrs/2024 Balance 0
0001213900-25-042476 5 23 EQ 0 H Equity ifrs/2024 Balance (in Dollars) 0
0001213900-25-042476 6 2 CF 0 H Profit Loss Before Tax ifrs/2024 Profit before income tax 0
0001213900-25-042476 6 4 CF 0 H Adjustments For Allowance For Expected Credit Losses On Trade Receivables 0001213900-25-042476 Provision for allowance for expected credit losses - trade receivables 0
0001213900-25-042476 6 5 CF 0 H Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Trade And Other Receivables ifrs/2024 Provision for allowance for expected credit losses - other receivables 0
0001213900-25-042476 6 6 CF 0 H Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss Loans And Advances ifrs/2024 Provision for allowance for expected credit losses - loan receivables 0
0001213900-25-042476 6 7 CF 0 H Adjustments For Impairment Loss Reversal Of Impairment Loss Recognised In Profit Or Loss ifrs/2024 Fair value loss on financial assets, at fair value through profit or loss 0
0001213900-25-042476 6 8 CF 0 H Adjustments For Sharebased Payments ifrs/2024 Share-based compensation awards 0
0001213900-25-042476 6 9 CF 0 H Professional Fee 0001213900-25-042476 Professional fees 0
0001213900-25-042476 6 10 CF 0 H Adjustments For Property And Equipment Written Off 0001213900-25-042476 Write-off on intangible assets 0
0001213900-25-042476 6 11 CF 0 H Adjustments For Depreciation And Amortisation Expense ifrs/2024 Depreciation of property and equipment 0
0001213900-25-042476 6 12 CF 0 H Depreciation Rightofuse Assets ifrs/2024 Depreciation of right-of-use assets 0
0001213900-25-042476 6 13 CF 0 H Adjustments For Amortisation Expense ifrs/2024 Amortisation of intangible assets 0
0001213900-25-042476 6 14 CF 0 H Adjustments For Loss On Disposal Of Subsidiary 0001213900-25-042476 Loss on disposal of controlling interest in subsidiaries 0
0001213900-25-042476 6 15 CF 0 H Loss On Dissolution Of Subsidiaries 0001213900-25-042476 Loss on dissolve of subsidiaries 0
0001213900-25-042476 6 16 CF 0 H Adjustments For Gains Losses On Change In Fair Value Of Derivatives ifrs/2024 Change in fair value of warrant liabilities 0
0001213900-25-042476 6 17 CF 0 H Adjustments For Decrease Increase In Gain On Disposal Of Financial Assets At Fair Value Through Profit And Loss 0001213900-25-042476 Gain on disposal of financial assets, at fair value through profit and loss 0
0001213900-25-042476 6 18 CF 0 H Adjustments For Gain Loss On Disposals Property Plant And Equipment ifrs/2024 Gain on disposal of property and equipment 1
0001213900-25-042476 6 19 CF 0 H Adjustments For Loss On Disposals Property Plant And Equipment 0001213900-25-042476 Loss on disposal of property and equipment 0
0001213900-25-042476 6 20 CF 0 H Adjustments For Interest Expense ifrs/2024 Interest expense 0
0001213900-25-042476 6 21 CF 0 H Adjustments For Interest Income ifrs/2024 Interest income 1
0001213900-25-042476 6 22 CF 0 H Cash Flows From Used In Operations Before Changes In Working Capital ifrs/2024 Operating cash flows before movements in working capital 0
0001213900-25-042476 6 23 CF 0 H Adjustments For Decrease Increase In Trade And Other Receivables ifrs/2024 Trade and other receivables 0
0001213900-25-042476 6 24 CF 0 H Adjustments For Decrease Increase In Loan Receivable 0001213900-25-042476 Loan receivables 0
0001213900-25-042476 6 25 CF 0 H Adjustments For Increase Decrease In Trade And Other Payables ifrs/2024 Trade and other payables 0
0001213900-25-042476 6 26 CF 0 H Adjustments For Increase Decrease In Contract Liabilities ifrs/2024 Contract liabilities 0
0001213900-25-042476 6 27 CF 0 H Adjustments For Increase Decrease In Deferred Income Other Than Contract Liabilities ifrs/2024 Deferred revenue 0
0001213900-25-042476 6 28 CF 0 H Cash Flows From Used In Operations ifrs/2024 Cash (used in)/generated from operations 0
0001213900-25-042476 6 29 CF 0 H Income Taxes Paid Refund Classified As Operating Activities ifrs/2024 Income tax (paid)/refund 1
0001213900-25-042476 6 30 CF 0 H Cash Flows From Used In Operating Activities ifrs/2024 Net cash (used in)/from operating activities 0
0001213900-25-042476 6 32 CF 0 H Purchase Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 Acquisition of property and equipment 1
0001213900-25-042476 6 33 CF 0 H Proceeds From Sales Of Property Plant And Equipment Classified As Investing Activities ifrs/2024 Proceeds from disposal of property and equipment 0
0001213900-25-042476 6 34 CF 0 H Purchase Of Intangible Assets Classified As Investing Activities ifrs/2024 Acquisition of intangible assets 1
0001213900-25-042476 6 35 CF 0 H Interest Received Classified As Investing Activities ifrs/2024 Interest received 0
0001213900-25-042476 6 36 CF 0 H Cash Flows Used In Obtaining Control Of Subsidiaries Or Other Businesses Classified As Investing Activities ifrs/2024 Acquisition of financial assets, at fair value through other comprehensive income 1
0001213900-25-042476 6 37 CF 0 H Proceeds From Sales Of Investments Accounted For Using Equity Method ifrs/2024 Proceeds from disposal of financial assets, at fair value through other comprehensive income 0
0001213900-25-042476 6 38 CF 0 H Proceeds From Disposal Of Financial Assets At Fair Value Through Profit And Loss 0001213900-25-042476 Proceeds from disposal of financial assets, at fair value through profit and loss 0
0001213900-25-042476 6 39 CF 0 H Purchase Of Financial Assets Measured At Fair Value Through Profit And Loss 0001213900-25-042476 Purchase of financial assets, at fair value through profit and loss 1
0001213900-25-042476 6 40 CF 0 H Cash Flows From Used In Investing Activities ifrs/2024 Net cash from/(used in) investing activities 0
0001213900-25-042476 6 42 CF 0 H Proceeds From Repayment Warrant Liabilities 0001213900-25-042476 Proceeds from issuance of ordinary shares 1
0001213900-25-042476 6 43 CF 0 H Repayments Of Other Borrowings 0001213900-25-042476 Repayment of other borrowings 1
0001213900-25-042476 6 44 CF 0 H Repayments Of Borrowings Classified As Financing Activities ifrs/2024 Repayment of bank borrowings 1
0001213900-25-042476 6 45 CF 0 H Interest Paid Classified As Financing Activities ifrs/2024 Interest paid 1
0001213900-25-042476 6 46 CF 0 H Proceed From Initial Public Offering 0001213900-25-042476 Proceeds from initial public offering, net of transaction cost 0
0001213900-25-042476 6 47 CF 0 H Deferred Initial Public Expense 0001213900-25-042476 Payment for initial public offering expense 0
0001213900-25-042476 6 48 CF 0 H Repayment Of Operating Leases Liabilities Classified As Financing Activities 0001213900-25-042476 Payment for lease liabilities 1
0001213900-25-042476 6 49 CF 0 H Cash Repayments Of Advances And Loans From Related Parties ifrs/2024 Repayment of advances from related parties 1
0001213900-25-042476 6 50 CF 0 H Dividends Paid Classified As Financing Activities ifrs/2024 Dividend paid 1
0001213900-25-042476 6 51 CF 0 H Cash Flows From Used In Financing Activities ifrs/2024 Net cash from financing activities 0
0001213900-25-042476 6 52 CF 0 H Increase Decrease In Cash And Cash Equivalents ifrs/2024 Net increase in cash and cash equivalents 0
0001213900-25-042476 6 53 CF 0 H Effect Of Exchange Rate Changes On Cash And Cash Equivalents ifrs/2024 Foreign exchange effect 0
0001213900-25-042476 6 54 CF 0 H Cash And Cash Equivalents ifrs/2024 Cash and bank balances at beginning of year 0
0001213900-25-042476 6 55 CF 0 H Cash And Cash Equivalents ifrs/2024 Cash and bank balances at end of year 0
0001213900-25-042476 6 57 CF 0 H Dividends Paid Other Shares ifrs/2024 Constructive dividends paid 0

Description
Field Name Field Description
adsh Accession Number. The 20-character string formed from the 18-digit number assigned by the SEC to each EDGAR submission.
report Represents the report grouping. This field corresponds to the statement (stmt) field, which indicates the type of statement. The numeric value refers to the “R file” as posted on the EDGAR Web site.
line Represents the tag’s presentation line order for a given report. Together with the statement and report field, presentation location, order and grouping can be derived.
stmt The financial statement location to which the value of the “report” field pertains.
inpth Value was presented “parenthetically” instead of in columns within the financial statements. For example: Receivables (net of allowance for bad debts of $200 in 2012) $700.
rfile The type of interactive data file rendered on the EDGAR web site, H = .htm file, X = .xml file.
tag The tag chosen by the filer for this line item.
version The taxonomy identifier if the tag is a standard tag, otherwise adsh.
plabel The text presented on the line item, also known as a “preferred” label.
negating Flag to indicate whether the plabel is negating.