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332 bank MuaMalat Malaysia berhaD
ABOUT US OUR LEADERSHIP OUR STRATEGY OUR PERFORMANCE
NOTES TO THE FINANCIAL STATEMENTS
31 DECEMbEr 2021 (26 JAMADIL AwAL 1443H)
47. fAIR vALue MeAsuReMeNTs (cONT’D.)
(a) financial and non-financial instruments measured at fair value (cont’d.)
Determination of fair value and the fair value hierarchy (cont’d.)
The following table shows the financial and non-financial instruments which are measured at fair value at the reporting
date analysed by the various level within the fair value hierarchy:
valuation technique using;
Quoted Observable unobservable
Market Price Inputs Inputs
Group Level 1 Level 2 Level 3 Total
2021 RM’000 RM’000 RM’000 RM’000
Non-financial assets
Investment properties - - 56,564 56,564
financial assets
Financial investments designated at
fair value through profit or loss - 10,286 310,990 321,276
Financial investments at FVOCI 96,704 4,765,435 4,631 4,866,770
Derivative financial assets - 5,437 - 5,437
Total financial assets measured at fair value 96,704 4,781,158 315,621 5,193,483
financial liabilities
Derivative financial liabilities - 61,543 - 61,543
Total financial liabilities measured
at fair value - 61,543 - 61,543