Page 260 - Full Book_24.4.2021
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NOTES TO THE
            FINANCIAL STATEMENTS



            for the financial year ended 31 december 2020 (continUed)





            29   INCOME DERIVED FROM INVESTMENT OF DEPOSITORS’ FUNDS (CONTINUED)
                 (ii)   Income derived from investment of term deposit-i
                                                                                                            Group
                                                                                                2020         2019
                                                                                              RM’000       RM’000
                       Finance income and hibah
     inteGrated annUal rePort 2020  financing, advances and others                            146,921    1,517,697
                                                                                            1,216,391
                       financial assets:
                                                                                               12,825
                       – fair value through profit and loss
                                                                                                            10,164
                                                                                                           187,059
                       – fair value through other comprehensive income
                                                                                                 297
                                                                                                              352
                       – other financial assets at amortised cost
                                                                                                            39,693
                                                                                               18,178
                         money at call and deposits with financial institutions             1,394,612    1,754,965
                       Other dealing income
     254
                       net gain from sale of financial assets at fvtPl                           355        17,504
                                                                                                              871
                       net (loss)/gain on revaluation of financial assets at fvtPl             (1,532)      18,375
     bimb holdinGS berhad 199701008362 (423858-X)  Other operating income                   1,564,207    1,838,249 –
                                                                                               (1,177)


                       net gain from sale of financial assets at fvoci
                                                                                                            64,909
                                                                                              170,772



                       of which
                       Financing income earned on impaired financing
                                                                                                            23,204
                                                                                               15,959
                                                                                               15,684
                       Unwinding of modification loss
   255   256   257   258   259   260   261   262   263   264   265