v3.26.3
Cash and Short-Term Deposits
6 Months Ended
Jun. 30, 2026
Cash and Short-Term Deposits [Abstract]  
Cash and Short-Term Deposits
10 CASH AND SHORT-TERM DEPOSITS

 

    As of  
    December 31,
2025
    June 30,
2026
    June 30,
2026
 
    RM     RM     Convenience
Translation
USD
 
Cash     9,161,045       12,308,382       3,013,953  
Pledged Deposits     1,700,892       1,708,868       418,450  
Total     10,861,937       14,017,250       3,432,403  

 

Pledged deposits are fixed deposit pledged to banks with maturity less than one year to secure overdraft facilities.

 

For the purpose of presenting the consolidated statement of cash flows, cash and cash equivalents comprise the following at the end of the financial year

 

    As of  
    December 31,
2025
    June 30,
2026
    June 30,
2026
 
    RM     RM     Convenience
Translation
USD
 
Cash and short-term deposits     10,861,937       14,017,250       3,432,403  
Pledged Deposits     (1,700,892 )     (1,708,868 )     (418,450 )
Total     9,161,045       12,308,382       3,013,953