ANNUAL REPORT 2014
51
STATEMENTS OF
CHANGES IN EQUITY
FOR THE FINANCIAL YEAR ENDED 30 JUNE 2014
Attributable to owners of the parent
Non-distributable
Distributable
Equity
attributable
to owners of
Non-
Equity,
the parent,
Share
Share
Treasury
Other
Retained
controlling
total
total
capital
premium
shares
reserves
earnings
interests
Note
(Note 29)
(Note 29)
(Note 29)
(Note 30)
(Note 31)
RM’000
RM’000
RM’000
RM’000
RM’000
RM’000
RM’000
RM’000
Group
Opening balance at 1 July 2013
1,720,478
1,708,483
973,718
–
(13,674)
(2,801)
751,240
11,995
Profit for the year
55,619
53,133
–
–
–
–
53,133
2,486
Other comprehensive income
8
8
–
–
–
8
–
–
Total comprehensive income
55,627
53,141
–
–
–
8
53,133
2,486
Transactions with owners
Acquisition of treasury shares
(5)
(5)
–
–
(5)
–
–
–
Dividends on ordinary shares
39
(20,930)
(9,680)
–
–
–
–
(9,680)
(11,250)
Total transactions with owners
(20,935)
(9,685)
–
–
(5)
–
(9,680)
(11,250)
Closing balance at 30 June 2014
1,755,170
1,751,939
973,718
–
(13,679)
(2,793)
794,693
3,231
Opening balance at 1 July 2012
1,404,110
1,393,248
282,529
239,178
(7,170)
(2,799)
881,510
10,862
Profit for the year
22,271
21,138
–
–
–
–
21,138
1,133
Other comprehensive income
(2)
(2)
–
–
–
(2)
–
–
Total comprehensive income
22,269
21,136
–
–
–
(2)
21,138
1,133
Transactions with owners
Resale of treasury shares
18,962
18,962
–
–
7,170
–
11,792
–
Acquisition of treasury shares
(13,674)
(13,674)
–
–
(13,674)
–
–
–
Issuance of ordinary shares
pursuant to private placement
332,148
332,148
42,044
290,104
–
–
–
–
Private placement expenses
(5,948)
(5,948)
–
(5,948)
–
–
–
–
Bonus issue
–
–
649,145
(523,334)
–
– (125,811)
–
Dividends on ordinary shares
39
(37,389)
(37,389)
–
–
–
–
(37,389)
–
Total transactions with owners
294,099
294,099
691,189
(239,178)
(6,504)
– (151,408)
–
Closing balance at 30 June 2013
1,720,478
1,708,483
973,718
–
(13,674)
(2,801)
751,240
11,995
The accompanying accounting policies and explanatory notes form an integral part of the financial statements.