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Our Performance Sustainability Statement Governance Our Numbers Other Information
47. FAIr vALuE MEASurEMENTS (CONT’D.)
(b) Financial instruments not carried at fair value
The estimated fair values of those on-balance sheet financial assets and financial liabilities as at the reporting date
approximate their carrying amounts as shown in the statement of financial position, except for the financial assets and
liabilities as disclosed below.
Group Total Carrying
Level 1 Level 2 Level 3 fair value Amount
rM’000 rM’000 rM’000 rM’000 rM’000
31 December 2020
Financial assets
Financial investments at
amortised cost - 186,424 - 186,424 105,544
Financing of customers - 11,020,267 6,090,278 17,110,545 18,115,817
Financial liabilities
Deposits from customers - 2,410,018 19,094,629 21,504,647 21,501,366
Deposits and placements
of banks and other
financial institutions - - 99,898 99,898 98,346
Bills and acceptances payable - - 6,310 6,310 6,310
Subordinated sukuk - 252,595 - 252,595 250,642
Senior sukuk - 509,481 - 509,481 502,692
31 December 2019
Financial assets
Financial investments at
amortised cost - 161,996 - 161,996 103,162
Financing of customers - 9,355,448 5,279,521 14,634,969 15,861,238
Financial liabilities
Deposits from customers - 2,154,452 16,786,452 18,940,904 18,940,552
Subordinated sukuk - 254,925 - 254,925 250,532
Senior sukuk - 514,285 - 514,285 502,517