Financial Year Ended 30 September 2026 2025 2024 2023 2022
  6 months
(Unaudited)
12 months
(Actual)
12 months
(Actual)
12 months
(Actual)
12 months
(Actual)
Revenue 184,552 430,626 394,717 316,870 363,602
Results from operating activities 7,558 20,333 13,141 15,953 27,361
           
Finance costs (1,593) (3,415) (2,942) (2,968) (2,554)
Finance income 128 391 489 473 338
Net finance costs (1,465) (3,024) (2,453) (2,495) (2,216)
           
Share of profit/(loss) of equity-accounted joint venture, net of tax 130 157 (197) (312) (233)
Profit before taxation 6,223 17,466 10,491 13,146 24,912
Tax expense (2,867) (8,459) (7,266) (5,811) (6,049)
Profit for the year/period 3,356 9,007 3,225 7,335 18,863
           
Other comprehensive income, net of tax:          
Foreign currency translation differences for foreign operations (376) 147 (746) 712 579
Cash flow hedge, net of tax - - - - 37
Total other comprehensive income / (expense) for the year / period (376) 147 (746) 712 616
Total other comprehensive income / (expense) for the year / period 2,980 9,154 2,479 8,047 19,479
Total comprehensive income for the year/period          
           
Profit attributable to:          
Owners of the Company 4,238 14,588 9,403 10,495 18,703
Non-controlling interests (882) (5,581) (6,178) (3,160) 160
Profit for the year/period 3,356 9,007 3,225 7,335 18,863
           
Total comprehensive income attributable to:          
Owners of the Company 3,862 14,735 8,637 11,136 19,261
Non-controlling interest (882) (5,581) (6,158) (3,089) 218
Total comprehensive income for the year/period 2,980 9,154 2,479 8,047 19,479
           
Basic earnings per ordinary share (sen) 1.40 4.83 3.26 4.03 7.19