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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

