| Financial Year End | 31 Dec 2019 |
| Quarter | 1 Qtr |
| Quarterly report for the financial period ended | 31 Mar 2019 |
| The figures | have not been audited |
| Remarks : |
|
The quarterly financial results for the individual period and cumulative period refer to the consolidated financial results of KLCC Property Holdings Berhad Stapled Group. |
SUMMARY OF KEY FINANCIAL INFORMATION
|
|
INDIVIDUAL PERIOD
|
CUMULATIVE PERIOD
|
||||
|
CURRENT YEAR QUARTER
|
PRECEDING YEAR
CORRESPONDING QUARTER |
CURRENT YEAR TO DATE
|
PRECEDING YEAR
CORRESPONDING PERIOD |
||
|
31 Mar 2019
|
31 Mar 2018
|
31 Mar 2019
|
31 Mar 2018
|
||
|
$$'000
|
$$'000
|
$$'000
|
$$'000
|
||
| 1 | Revenue |
353,446
|
345,112
|
353,446
|
345,112
|
| 2 | Profit/(loss) before tax |
239,595
|
233,887
|
239,595
|
233,887
|
| 3 | Profit/(loss) for the period |
212,630
|
208,672
|
212,630
|
208,672
|
| 4 | Profit/(loss) attributable to ordinary equity holders of the parent |
183,958
|
180,671
|
183,958
|
180,671
|
| 5 | Basic earnings/(loss) per share (Subunit) |
10.19
|
10.01
|
10.19
|
10.01
|
| 6 | Proposed/Declared dividend per share (Subunit) |
8.80
|
8.70
|
8.80
|
8.70
|
|
AS AT END OF CURRENT QUARTER
|
AS AT PRECEDING FINANCIAL YEAR END
|
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| 7 |
Net assets per share attributable to ordinary equity holders of the parent ($$) |
7.2500
|
7.2500
|
||
Remarks :
The dividend per share for the current year individual quarter stated in item 6 above comprising:-
(i) KLCC Real Estate Investment Trust - 6.28 sen per unit.
(ii) KLCC Property Holdings Berhad - 2.52 sen per ordinary share.
Definition of Subunit:
In a currency system, there is usually a main unit (base) and subunit that is a fraction amount of the main unit.
Example for the subunit as follows:
| Country | Base Unit | Subunit |
| Malaysia | Ringgit | Sen |
| United States | Dollar | Cent |
| United Kingdom | Pound | Pence |
| Company Name | KLCC REAL ESTATE INVESTMENT TRUST |
| Stock Name | KLCC |
| Date Announced | 07 May 2019 |
| Category | Financial Results |
| Reference Number | FRA-06052019-00002 |
Attachments