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【CIMB 1023 交流专区】 联昌国际

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发表于 7-9-2025 02:29 PM | 显示全部楼层
Type
Announcement
Subject
OTHERS
Description
PT Bank CIMB Niaga Tbk releases its Unaudited Financial Results for the 2nd Quarter ended 30 June 2025
We, CIMB Group Holdings Berhad ("CIMB") are pleased to announce that PT Bank CIMB Niaga Tbk, a 91.44% (indirectly held) subsidiary of CIMB, had on 30 July 2025 announced its unaudited financial results for the 2nd Quarter ended 30 June 2025.

The unaudited financial results and the corresponding press release are attached herewith.

This announcement is dated 30 July 2025.
https://www.bursamalaysia.com/market_information/announcements/company_announcement/announcement_details?ann_id=3575639

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发表于 15-3-2026 03:36 AM | 显示全部楼层
SUMMARY OF KEY FINANCIAL INFORMATION
30 Jun 2025
INDIVIDUAL PERIOD
CUMULATIVE PERIOD
CURRENT YEAR QUARTER
PRECEDING YEAR
CORRESPONDING
QUARTER
CURRENT YEAR TO DATE
PRECEDING YEAR
CORRESPONDING
PERIOD
30 Jun 2025
30 Jun 2024
30 Jun 2025
30 Jun 2024
MYR'000
MYR'000
MYR'000
MYR'000
1Revenue
5,601,761
5,602,540
11,100,769
11,231,499
2Profit/(loss) before tax
2,647,592
2,729,654
5,274,629
5,302,964
3Profit/(loss) for the period
1,930,262
2,008,715
3,957,914
3,992,142
4Profit/(loss) attributable to ordinary equity holders of the parent
1,888,742
1,960,957
3,862,122
3,897,309
5Basic earnings/(loss) per share (Subunit)
17.57
18.35
35.96
36.51
6Proposed/Declared dividend per share (Subunit)
19.75
27.00
19.75
27.00


AS AT END OF CURRENT QUARTER
AS AT PRECEDING FINANCIAL YEAR END
7
Net assets per share attributable to ordinary equity holders of the parent
6.5427
6.4540

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发表于 15-3-2026 03:48 AM | 显示全部楼层
CIMB GROUP HOLDINGS BERHAD

Entitlement subject
First Interim Dividend
Entitlement description
Single Tier First Interim Dividend of 19.75 sen per share in respect of the financial year ending 31 December 2025
Ex-Date
18 Sep 2025
Entitlement date
19 Sep 2025
Entitlement time
5:00 PM
Financial Year End
31 Dec 2025
Period

Share transfer book & register of members will be
to  closed from (both dates inclusive) for the purpose of determining the entitlement
Payment Date
30 Sep 2025
a.Securities transferred into the Depositor's Securities Account before 4:30 pm in respect of transfers
19 Sep 2025
b.Securities deposited into the Depositor's Securities Account before 12:30 pm in respect of securities exempted from mandatory deposit

c. Securities bought on the Exchange on a cum entitlement basis according to the Rules of the Exchange.
Number of new shares/securities issued (units)
(If applicable)

Entitlement indicator
Currency
Announced Currency
Malaysian Ringgit (MYR)
Disbursed Currency
Malaysian Ringgit (MYR)
Entitlement in Currency
Malaysian Ringgit (MYR) 0.1975

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