v3.26.3
Fair Value of Assets and Liabilities (Tables)
12 Months Ended
Jun. 30, 2026
Fair Value of Assets and Liabilities [Abstract]  
Schedule of Fair Value at the Reporting Date

The following table shows an analysis of each class of financial instruments measured at fair value at the reporting date:

 

    Fair value measurement at the reporting date using  
    Quoted
prices in
active
markets for
identical
instruments
(Level 1)
    Significant
observant
inputs other
than quoted
prices
(Level 2)
    Significant
unobservable
inputs
(Level 3)
    Total  
    RM     RM     RM     RM  
2026                        
Financials liabilities:                        
Warrant liabilities          -              -       2,654       2,654  
                                 
2025                                
Financials liabilities:                                
Warrant liabilities     -       -       -       -  
Schedule of Level 3 Fair value Measurements

The following table presents the changes in Level 3 instruments:

 

    June 30,
2025
    June 30,
2026
    June 30,
2026
 
Series A   RM     RM     USD  
Issuance of warrants     -       11,181,777       2,739,289  
Fair value change     -       (11,214,763 )     (2,747,370 )
Currency realignment     -       35,640       8,731  
At end of the year     -       2,654       650