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SUSTAINABILITY JOURNEY   HOW WE ARE GOVERNED   FINANCIAL STATEMENTS   ADDITIONAL INFORMATION  281


            COMPANY STATEMENT OF


            CHANGES IN EQUITY


            FOR THE FINANCIAL YEAR ENDED 31 DECEMBER 2021





                                                                           Non-distributable
                                                                       Merger    Cash flow
                                                           Share         relief     hedge
                                                           capital     reserve     reserve  Accumulated
            Company                                      (Note 30)    (Note 31)    (Note 31)     losses       Total
                                                          RM’000       RM’000      RM’000       RM’000      RM’000
            2021

            At 1 January 2021                             718,255    1,733,939      (9,209)    (724,922)  1,718,063
            Profit for the financial year                       -           -            -     200,895      200,895
            Other comprehensive income
              for the financial year, net of tax:
            Item that will be subsequently reclassified
              to profit or loss
              - cash flow hedges                                -           -        5,542           -        5,542
            Total comprehensive income
              for the financial year                            -           -        5,542     200,895      206,437
            At 31 December 2021                           718,255    1,733,939      (3,667)    (524,027)   1,924,500

            2020
            At 1 January 2020                             718,255    1,733,939      (4,968)    (772,240)   1,674,986
            Profit for the financial year                       -           -            -       47,318      47,318
            Other comprehensive (loss)/income for the
              financial year, net of tax:
            Item that will be subsequently reclassified
              to profit or loss
              - cash flow hedges                                -           -       (4,241)          -       (4,241)

            Total comprehensive (loss)/income
              for the financial year                            -           -       (4,241)      47,318      43,077
            At 31 December 2020                           718,255    1,733,939      (9,209)    (724,922)   1,718,063
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