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Business Combination/Disposal of Subsidiaries (Details) - Schedule of Fair Values of Identifiable Assets and Liabilities of Subsidiaries at Acquisition Date - Acquisition of Equity Interest in Subsidiaries [Member] - MYR (RM)
12 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Business Combination/Disposal of Subsidiaries (Details) - Schedule of Fair Values of Identifiable Assets and Liabilities of Subsidiaries at Acquisition Date [Line Items]    
Cash and bank balances   RM 102,101
Trade payables   (6,666)
Other payables and accruals   (9,228)
Net assets   551,207
Non-controlling interests measured at fair value   (139,960)
Group’s share of net assets   411,247
Less: Negative goodwill on consolidation recognised in consolidated statement of profit or loss   (94,672)
Add: Goodwill on consolidation   7,734,427
Total fair value of consideration for the acquisitions   8,051,002
Trade receivables   465,000
ARB Synergy Group [Member]    
Business Combination/Disposal of Subsidiaries (Details) - Schedule of Fair Values of Identifiable Assets and Liabilities of Subsidiaries at Acquisition Date [Line Items]    
Cash and bank balances RM 1,297  
Other receivables 1,975  
Other payables and accruals (51,069)  
Net assets (47,797)  
Non-controlling interests measured at fair value  
Group’s share of net assets (47,797)  
Add: Goodwill on consolidation 47,798  
Total fair value of consideration for the acquisitions RM 1  
ARB WMS [Member]    
Business Combination/Disposal of Subsidiaries (Details) - Schedule of Fair Values of Identifiable Assets and Liabilities of Subsidiaries at Acquisition Date [Line Items]    
Cash and bank balances   100,000
Trade payables  
Other payables and accruals   (4,368)
Net assets   285,632
Non-controlling interests measured at fair value   (139,960)
Group’s share of net assets   145,672
Less: Negative goodwill on consolidation recognised in consolidated statement of profit or loss   (94,672)
Add: Goodwill on consolidation  
Total fair value of consideration for the acquisitions   51,000
Trade receivables   190,000
ARB Innovation [Member]    
Business Combination/Disposal of Subsidiaries (Details) - Schedule of Fair Values of Identifiable Assets and Liabilities of Subsidiaries at Acquisition Date [Line Items]    
Cash and bank balances   1,000
Trade payables   (6,666)
Other payables and accruals   (2,034)
Net assets   267,300
Non-controlling interests measured at fair value  
Group’s share of net assets   267,300
Less: Negative goodwill on consolidation recognised in consolidated statement of profit or loss  
Add: Goodwill on consolidation   7,732,701
Total fair value of consideration for the acquisitions   8,000,001
Trade receivables   275,000
ARB R1 [Member]    
Business Combination/Disposal of Subsidiaries (Details) - Schedule of Fair Values of Identifiable Assets and Liabilities of Subsidiaries at Acquisition Date [Line Items]    
Cash and bank balances   1,101
Trade payables  
Other payables and accruals   (2,826)
Net assets   (1,725)
Non-controlling interests measured at fair value  
Group’s share of net assets   (1,725)
Less: Negative goodwill on consolidation recognised in consolidated statement of profit or loss  
Add: Goodwill on consolidation   1,726
Total fair value of consideration for the acquisitions   1
Trade receivables