v3.26.3
Financial Instruments and Risk Management - Schedule of Amounts Disclosed in the Table are the Contractual Undiscounted Cash Flows Includes Principal and Interest (Details)
Jun. 30, 2026
MYR (RM)
Jun. 30, 2026
USD ($)
Dec. 31, 2025
MYR (RM)
Dec. 31, 2025
USD ($)
Dec. 31, 2024
MYR (RM)
Schedule of Amounts Disclosed in the Table are the Contractual Undiscounted Cash Flows Includes Principal and Interest [Line Items]          
Bank borrowings RM 4,466,693 $ 1,093,760 RM 5,032,533 $ 1,232,317 RM 3,262,715
Lease liabilities 1,201,388 294,184 1,360,238 $ 333,082 RM 162,577
Trade payable 6,411,187 1,569,906 335,070    
Other payable 1,159,322 283,883 1,038,668    
Liquidity Risk [Member] | Repayment within less than 1 year [Member]          
Schedule of Amounts Disclosed in the Table are the Contractual Undiscounted Cash Flows Includes Principal and Interest [Line Items]          
Bank borrowings 1,538,032 376,618 1,515,098    
Lease liabilities 351,216 86,002 382,416    
Trade payable 6,411,187 1,569,906 335,070    
Other payable 1,955,754 478,905 1,749,353    
Liquidity Risk [Member] | Between 1 and 2 years [Member]          
Schedule of Amounts Disclosed in the Table are the Contractual Undiscounted Cash Flows Includes Principal and Interest [Line Items]          
Bank borrowings 1,415,001 346,491 1,515,681    
Lease liabilities 351,216 86,002 364,216    
Liquidity Risk [Member] | Between 2 and 5 years [Member]          
Schedule of Amounts Disclosed in the Table are the Contractual Undiscounted Cash Flows Includes Principal and Interest [Line Items]          
Bank borrowings 2,263,088 554,162 2,805,652    
Lease liabilities 521,157 127,616 672,552    
Liquidity Risk [Member] | Over 5 years [Member]          
Schedule of Amounts Disclosed in the Table are the Contractual Undiscounted Cash Flows Includes Principal and Interest [Line Items]          
Bank borrowings 5,479 1,342 126,513    
Lease liabilities RM 35,128 $ 8,602 RM 92,312