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174    BANK MUAMALAT MALAYSIA BERHAD                   About Us           Our Leadership       Our Strategy
            ANNUAL REPORT FY2020


          StatementS of other comprehenSive income

          for the year ended 31  december 2020 (16 Jamadil awal 1442h)






                                                                      Group                        Bank
                                                                 For the                     For the
                                                                 twelve   For the nine        twelve   For the nine
                                                                 months        months        months        months
                                                                  ended         ended         ended         ended
                                                            31 December   31 December   31 December   31 December
                                                                   2020          2019           2020          2019
                                                    Note        rM’000         rM’000         rM’000        rM’000
                                                                              (Note 1)                    (Note 1)
          Profit for the year                                    172,857        98,806       171,268        98,411

          Other comprehensive income/(loss):
           Items that may be reclassified
             subsequently to profit or loss
             Net gain on financial investments
             at fair value through other
             comprehensive income                                  9,789        19,558         9,789        19,558
             - Net gain on change in fair value                   66,947        70,017        66,947        70,017
             - Changes in expected credit losses    5 (ii)           (38)          (3)           (38)           (3)
             -  Income tax effect                    16              (86)       (6,156)          (86)        (6,156)
             -  Realised gain transferred to profit or
               loss on disposal of debts instruments   27 & 29     (57,034)    (44,300)       (57,034)      (44,300)
             Exchange fluctuation reserve                          (835)          284           (835)          285
          Items that may not be reclassified
           subsequently to profit or loss
           Net unrealised gain on equity securities
             at fair value through other comprehensive income        26          1,016           26          1,016

          Other comprehensive income for the year,
           net of tax                                              8,980        20,858         8,980        20,859

          Total comprehensive income for the year                181,837       119,664       180,248       119,270























          The accompanying notes form an integral part of the financial statements.
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