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NOTES TO THE
            FINANCIAL STATEMENTS



            for the financial year ended 31 december 2020 (continUed)





            14   INVESTMENTS IN SUBSIDIARIES (CONTINUED)
                 Summarised financial information before intra-group elimination
                                                                                            Syarikat Takaful Malaysia
                                                                                                   Keluarga Berhad
                                                                                                2020         2019
                                                                                              RM’000       RM’000
     inteGrated annUal rePort 2020  assets                                                 (10,172,586)  10,254,080
                 As at 31 December

                                                                                           11,690,342
                                                                                                         (9,022,673)
                 liabilities
                                                                                            1,517,756
                                                                                                         1,231,407
                 net assets
                 Year ended 31 December
                 operating revenue                                                          1,687,232    1,788,424
     226
                 Profit for the year                                                          363,160      366,551
                                                                                                           387,800
                 total comprehensive income                                                   369,429     (113,306)
     bimb holdinGS berhad 199701008362 (423858-X)  cash flows used in investing activities   (164,380)    (289,703)
                 cash flows from operating activities
                                                                                              278,263
                                                                                                            (9,128)
                                                                                                 (714)
                 cash flows used in financing activities
                                                                                                          (412,137)
                                                                                              113,169
                 net increase in cash and cash equivalents
                                                                                               67,048
                 dividends paid to nci
                                                                                                            49,900
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