Stocks

Wednesday, 10 Dec 2025


PASUKHAS GROUP BERHAD

  • Board : Ace
  • Stock Code : 0177
  • 52 Week High : 0.155
  • 52 Week Low : 0.050
Open High Low Last Chg Chg % Vol ('00) Buy/Vol ('00) Sell/Vol ('00)
0.060 0.065 0.060 0.065 0.005 8.33 100 .060 / 993 .065 / 1,005

Updated : 10 Dec 2025 | 6:02 PM

Log in to save your chart settings and more

  • View Chart:
  • 3 months
  • 1 day

* Stock chart by TradingView

Financial Results


Date
Announced
Financial
Year End
QTR Period End Revenue
RM (,000)
P&L
RM (,000)
EPS
28 Nov 202531 Dec 2025330 Sep 202514,770-2,783-1.45
29 Aug 202531 Dec 2025230 Jun 202527,043-24,390-12.78
29 May 202531 Dec 2025131 Mar 202517,624-5,923-3.09
29 Nov 202430 Jun 2025130 Sep 202418,374370.27
30 Aug 202430 Jun 2024430 Jun 202412,229-12,051-6.29

PASUKHAS GROUP BERHAD

Through the Company subsidiary they are principally involved in the following business activities:

-M&E engineering services targeting customers in the water treatment and sewerage industry palm oil and sugar mills and refineries and other factories in the manufacturing sector;

-Design manufacturing trade and market their own LV switchboards used by both the commercial and industrial sectors; and

-Trading of equipment mainly in distribution power and converter transformers.

Address

A3-3-8, SOLARIS DUTAMAS,NO. 1 JALAN DUTAMAS 1,KUALA LUMPUR, FEDERAL TERRITORY

Malaysia

Contact

(60) 3 6413 3271

(60) 3 6413 3270

31 Dec 2021RM'00030 Jun 2023RM'00030 Jun 2024RM'000
Income Statement
Net Turnover/Net Sales79,711146,49479,171
EBITDA-10,185-13,463-11,868
EBIT-16,207-18,141-10,978
Net Profit-19,249-22,807-16,943
BALANCE SHEET
Intangibles---
Fixed Assets24,99820,7651,591
Long Term Investment---
Stocks/Inventories30,31831,058-
Cash14,5397,6068,676
Current Liabilities47,53737,83345,052
Long Term Debt12,4729,5247,927
Provisions---
Minorities---
Total Shareholders Equity165,003152,364135,261
KEY RATIOS
Operating Margin(%)-25.32-14.12-21.11
Return on Equity Capital(%)-17.26-14.37-11.78
Net Profit Margin-24.15-15.57-21.4
Current Ratio3.673.753.3
Debt to Capital at Book0.080.080.07

World'Vest Base, Inc.© 2025

Under no circumstances this document is to be used or considered as an offer to sell, or a solicitation of any offer to buy, any security. While information contained herein has been obtained from sources believed to be reliable, WVB does not represent that it is accurate or complete and it should not be relied upon as such.

1335, North Dearborn Parkway, Chicago, IL 60610

Tel: +1-312-922-4201 | Fax: 1-312-922-3277 | Email: inforequest@wvb.com

www.wvb.com

Financial Data Owned and Supplied by World'vest Base Inc. Copyright , All Rights Reserved.