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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)
                 (iv)   Income derived from investment of other deposits
                                                                                                            Group
                                                                                                2020         2019
                                                                                              RM’000       RM’000
                       Finance income and hibah
     inteGrated annUal rePort 2020  financing, advances and others                              5,484       70,118
                                                                                               45,274
                       financial assets:
                                                                                                 487
                       – fair value through profit and loss
                                                                                                              475
                                                                                                             8,615
                       – fair value through other comprehensive income
                       – other financial assets at amortised cost
                                                                                                               15
                                                                                                  12
                                                                                                 689
                                                                                                             2,017
                         money at call and deposits with financial institutions                51,946       81,240
     256               Other dealing income
                       net (loss)/gain from sale of financial assets at fvtPl                     (73)        807
                       net (loss)/gain on revaluation of financial assets at fvtPl               (136)        110
                                                                                                  (63)
     bimb holdinGS berhad 199701008362 (423858-X)  Other operating income                      57,739       84,949
                                                                                                              917



                                                                                                5,929
                       net gain from sale of financial assets at fvoci
                                                                                                             2,792


                       of which
                       Financing income earned on impaired financing
                       Unwinding of modification loss
                                                                                                 464
            30   INCOME DERIVED FROM INVESTMENT ACCOUNT FUNDS                                    626         1,094 –

                                                                                                            Group
                                                                                                2020         2019
                                                                                              RM’000       RM’000
                 Finance income
                 Unrestricted investment accounts
                 – Mudharabah                                                                 167,693      148,478
                 – Wakalah                                                                    329,244      236,452
                 Unwinding of modification loss                                                 7,041           –

                                                                                              503,978      384,930
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