Page 263 - 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


                                                                                                                          |
            31   INCOME DERIVED FROM INVESTMENT OF SHAREHOLDERS’ FUNDS
                                                                                  Group                  Company
                                                                      2020         2019         2020         2019         achieving a leading repute
                                                                    RM’000       RM’000       RM’000       RM’000

                 Finance income and hibah
                                                                                                                          |
                 financing, advances and others                       6,607        6,622           –            –
                 financial assets:
                 – fair value through other comprehensive income    190,253      189,567           –            –
                 money at call and deposits with financial institutions   11,513  12,661        9,340        9,654        Paving the Way for a Sustainable future
                                                                    208,373      208,850        9,340        9,654


                 Other dealing income
                 net gain from foreign exchange transactions         43,478       55,710           –            –
                 net (loss)/gain on revaluation of financial assets fvtPl   (4,096)  9,874        (99)        234
                 net derivatives gain/(loss)                            31           (36)          –            –      257
                                                                     39,413       65,548          (99)        234


                 Other operating income
                 impairment for doubtful debts                           (3)          (1)          –            –
                 dividend income from debt instruments
                   at fvtPl (unit trust)                             14,740        9,546         537          260         adhering to the best Governance Practices
                 dividend income from equity instruments at fvoci      503          545            –            –
                 Gross dividend income from subsidiary companies         –            –       352,737      411,259
                 rebate on investment in unit trust                    979            –            –            –
                 Sale of investment in unit trust                       28            –            –            –         |
                 fees and commission                                185,750      193,020           –            –
                 net gain on disposal of
                   property and equipment                                3          422            –            –
                 rental income                                        1,534        1,414           –            –
                 others                                               1,226         484         1,007           4         Laying the Foundation for Financial Growth

                                                                    204,760      205,430      354,281      411,523

                                                                    452,546      479,828      363,522      421,411
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                                                                                                                          additional information & disclosure Summary











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