Page 261 - Full Book_24.4.2021
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NOTES TO THE
            FINANCIAL STATEMENTS                                                                                          in retrospect



                                                                                                                          |
            for the financial year ended 31 december 2020 (continUed)
                                                                                                                          the Will to Suceed


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            29   INCOME DERIVED FROM INVESTMENT OF DEPOSITORS’ FUNDS (CONTINUED)
                 (iii)   Income derived from investment of savings and demand deposits
                                                                                                            Group         achieving a leading repute
                                                                                                2020         2019
                                                                                              RM’000       RM’000
                                                                                                                          |
                       Finance income and hibah
                       financing, advances and others                                         677,884      675,861
                       financial assets:
                       – fair value through profit and loss                                     7,134        4,531        Paving the Way for a Sustainable future
                       – fair value through other comprehensive income                         81,880       83,286
                       – other financial assets at amortised cost                                167          165
                       money at call and deposits with financial institutions                  10,029       17,618

                                                                                              777,094      781,461

                       Other dealing income                                                                            255
                       net gain from sale of financial assets at fvtPl                           216         7,726
                       net (loss)/gain on revaluation of financial assets at fvtPl             (1,126)        537
                                                                                                                          adhering to the best Governance Practices
                                                                                                 (910)       8,263


                       Other operating income
                       net gain from sale of financial assets at fvoci                         93,479       28,404

                                                                                              869,663      818,128


                                                                                                                          |
                       of which
                                                                                                                          Laying the Foundation for Financial Growth
                       Financing income earned on impaired financing                            8,794       10,347
                       Unwinding of modification loss                                           9,061           –








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                                                                                                                          additional information & disclosure Summary











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