Page 416 - Bank-Muamalat-Annual-Report-2021
P. 416

414      BANK MUAMALAT MALAYSIA BERHAD
                                                   ABOUT US       OUR LEADERSHIP    OUR STRA TEGY   OUR PERFORMANCE
                                                   ABOUT US
                                                                  OUR LEADERSHIP
                                                                                    OUR STRATEGY
                                                                                                    OUR PERFORMANCE
          BASEL II
          PILLAR  3 DISCLOSURE










                         Total    rM’000    1,142,291    31,184    321,276    4,866,770    107,109    5,437   20,671,306    421,018    216,978    291,866    7,755    61,543    194,954    427,466    499,876   2,752,787   -   822,270    1,613,142    25,773    2,830,597    5,291,782



                        over 5    years     rM’000     -     -     -     106,895     107,109     -     8,326,386     315,391     8,855,781   27,566,391    81,410   23,113,166    -     240,816     -     44,813     -     -     -     367,039   24,813,604   2,752,787   5,735,955     111,244     909,319     1,605     700,000     1,722,168



                        >1 - 5     years     rM’000     -     -     147,840     3,587,562     -     -     6,809,225     72,427     1,141,056     -     50,753     -     12,563     24,436     -     498,825     1,727,633    -   8,889,421     676,724     269,774     24,096     500,000     1,470,594



                        >6-12     Months     rM’000     -     -     168,384     669,885     -     -     2,005,708     32,796    2,876,773   10,617,054     875,146     -     113     -     -     91,943     -     -     967,202    -   1,909,571     25,406     11,459     -     984,843     1,021,708



                   Table 25: Maturity analysis of assets and liabilities based on remaining contractual maturity.
                        >3-6     Months     rM’000     -     -    5,052     286,898     -     1,115    -    -     1,595,270     3,741,358     -     84     -     891     1,844     427,466     1,051     4,172,694    -   (2,577,424)    6,492     121,514     -     381,249     509,255



                        >1-3     Months     rM’000     -     31,184    -     215,530     -     2,523     1,375,858     -     1,625,095    3,241,319     -     54     7,755     2,399     876     -     -     3,252,403    -   (1,627,308)    2,404     143,837     -     198,705     344,946



                        >7 Days -     1 Month     rM’000     23,238     -     -     -     -     1,375     772,577     404     797,594     3,685,222     -     46     -     451     75,855     -     -    3,761,574    -   (2,963,980)    -     916     -     13,233     14,149



                       up to     7 Days     rM’000     1,119,053     -    -    -     -     424      79,347     -     1,198,824     10,347,655     216,978     -     -     426     -     -     -     10,565,059    -   (9,366,235)   -     156,323     72     52,567     208,962

















           lIquIDITy rIsK (conT’D) liquidity and funding risk (cont’d)  31 December 2021   Cash  and  short-term  funds  Cash  and  placements  with  financial  institutions  Financial  investments  at  fair  value  through    profit  and  loss  Financial  investments  at  fair  value  through   other  comprehensive  income  Financial  investments  at  amortised  cost  Islamic  derivative  financial  assets   Financing  of  customers   Other  assets   ToTAl AsseTs   lIABIlITIes AnD equITy De













           8.4               group   AsseTs
   411   412   413   414   415   416   417   418   419   420   421