7 163 162 Notes to the Financial Statements Notes to the Financial Statements 7. INVESTMENT IN SUBSIDIARIES (CONTINUED) Non-controlling interests in subsidiaries The Group’s subsidiaries that have material non-controlling interests (“NCI”) are as follows: 31.3.2023 QL Endau Marine Products Sdn. Bhd. and its subsidiaries RM’000 QL Ansan Poultry Farm Sdn. Bhd. and its subsidiaries RM’000 PT Pipit Mutiara Indah RM’000 Kembang Subur Sdn. Bhd. and its subsidiaries RM’000 Boilermech Holdings Berhad and its subsidiaries RM’000 Other individually immaterial subsidiaries RM’000 Total RM’000 NCI percentage of ownership interest and voting interest 29.41% 10.00% 25.50% 12.78% 47.43% Carrying amount of NCI 67,111 7,172 (1,275) 6,250 147,547 4,296 231,101 Total comprehensive income/(expense) allocated to NCI 5,725 436 (3,884) 1,483 7,633 1,002 12,395 Summarised financial information before intra-group elimination As at 31 March Non-current assets 132,915 119,779 160,981 51,594 177,731 Current assets 119,441 85,493 74,469 8,478 281,083 Non-current liabilities (14,972) (36,747) (9,912) (8,004) (21,014) Current liabilities (9,192) (96,907) (230,540) (3,159) (135,306) Net assets/(Net liabilities) 228,192 71,618 (5,002) 48,909 302,494 7. INVESTMENT IN SUBSIDIARIES (CONTINUED) Non-controlling interests in subsidiaries (continued) The Group’s subsidiaries that have material non-controlling interests (“NCI”) are as follows: (continued) 31.3.2023 QL Endau Marine Products Sdn. Bhd. and its subsidiaries RM’000 QL Ansan Poultry Farm Sdn. Bhd. and its subsidiaries RM’000 PT Pipit Mutiara Indah RM’000 Kembang Subur Sdn. Bhd. and its subsidiaries RM’000 Boilermech Holdings Berhad and its subsidiaries RM’000 Year ended 31 March Revenue 192,858 210,159 89,066 52,323 377,684 Total comprehensive income/(expense) 19,464 4,509 (15,233) 11,607 16,280 Cash flows from operating activities 14,218 42,220 9,134 16,130 12,677 Cash flows used in investing activities (9,155) (13,152) (2,881) (4,456) (9,008) Cash flows used in financing activities (12,759) (20,570) (84,168) (10,772) (10,901) (7,696) 8,498 (77,915) 902 (7,232) Dividends paid to NCI (3,709) - - (833) (4,836)
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