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                 Our Performance   Sustainability Statement  Governance        Our Numbers         Other Information














            27.   INCOME DErIvED FrOM INvESTMENT OF DEPOSITOrS’ FuNDS AND OThErS (CONT’D.)
                 (i)   Income derived from investment of fixed term deposits

                                                                          Group                        Bank
                                                               31 December    31 December    31 December    31 December
                                                                      2020          2019           2020          2019
                                                                     rM’000        rM’000        rM’000        rM’000

                     Finance income and hibah:

                     Income from financing (note (a))               133,644       356,130       133,644        356,130
                     Financial investments designated at FVTPL        1,165         3,165         1,165         3,165
                     Financial assets at fair value through
                       other comprehensive income                    27,683        67,883        27,683        67,883
                     Financial assets at amortised cost                383           941           383            941
                     Money at call and deposit with
                       financial institutions                         4,957        11,639         4,957        11,639
                                                                    167,832       439,758       167,832        439,758
                     Amortisation of premium, net                    (4,279)         (204)        (4,279)        (204)
                     Total finance income and hibah                 163,553       439,554       163,553        439,554


                     Other operating income
                     Net gain/(loss) from sale of:
                     - financial investments designated at FVTPL        73             (4)          73             (4)
                     - debt instruments at fair value through other
                       comprehensive income                           8,880        22,594         8,880        22,594
                     Unrealised gain on revaluation from
                       financial investments designated at FVTPL       265           315           265            315

                                                                      9,218        22,905         9,218        22,905

                     Fees and commission

                     Guarantee fees                                    252           642           252            642
                     Safekeeping fees                                    -          6,858             -         6,858
                     Processing fees                                   686           988           686            988
                     Service charges and fees                         1,905         5,579         1,905         5,579
                     Commission                                       5,071        10,625         5,071        10,625

                                                                      7,914        24,692         7,914        24,692
                     Total                                          180,685       487,151       180,685        487,151
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