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280  MSM MALAYSIA HOLDINGS BERHAD             WHO WE ARE     STATEMENT & DISCUSSION BY OUR LEADERS   HOW WE OPERATE
          ANNUAL INTEGRATED REPORT 2021

           CONSOLIDATED


           STATEMENT OF CHANGES


           IN EQUITY


           FOR THE FINANCIAL YEAR ENDED 31 DECEMBER 2021

                                                       Reorgani-   Merger    Foreign   Cash flow
                                                Share     sation     relief  exchange   hedge
                                               capital    deficit  reserve   reserve   reserve   Retained
           Group                              (Note 30)    (Note 31)   (Note 31)    (Note 31)    (Note 31)   earnings   Total
                                               RM’000    RM’000    RM’000    RM’000     RM’000    RM’000    RM’000

           2021
           At 1 January 2021                  718,255  (1,039,632)  1,733,939   1,299   (9,209)   176,874  1,581,526
           Profit for the financial year           -          -         -         -         -    125,353   125,353
           Other comprehensive income for
             the financial year, net of tax:
           Item that will be subsequently reclassified
             to profit or loss
             - currency translation differences    -          -         -       143         -         -       143
             - cash flow hedges                    -          -         -         -     5,542         -      5,542
           Total comprehensive income for the
             financial year                        -          -         -       143     5,542    125,353   131,038
           At 31 December 2021                718,255  (1,039,632)  1,733,939   1,442   (3,667)   302,227  1,712,564

           2020
           At 1 January 2020                   718,255   (1,039,632)   1,733,939   1,835   (4,968)   248,102   1,657,531

           Loss for the financial year              -         -         -         -         -     (71,228)   (71,228)
           Other comprehensive loss for the
             financial year, net of tax:
           Item that will be subsequently reclassified
             to profit or loss
             - currency translation  differences    -         -         -       (536)       -          -      (536)
             - cash flow hedges                     -         -         -         -      (4,241)       -     (4,241)

           Total comprehensive loss for the
             financial year                         -         -         -       (536)    (4,241)  (71,228)  (76,005)
           At 31 December 2020                 718,255   (1,039,632)   1,733,939   1,299   (9,209)   176,874   1,581,526
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