Page 417 - Bank-Muamalat-Annual-Report-2021
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ANNUAL REPORT 2021  415
               SUSTAINABILITY STATEMENT  OUR GOVERNANCE  OUR NUMBERS  OTHER INFORMATION
















                            Total    rM’000    2,933,172    30,417    313,337    3,798,964    105,544    47,820    18,115,815    422,800    25,767,869    21,501,366    98,346    6,310    167,333    146,389    444,141    250,642    502,692    23,117,217   2,650,652   -    731,379    1,652,480    7,102    4,526,523    6,917,484



                          over 5    years     rM’000     -     -     -     150,491     105,544     -     7,038,278    271,529     7,565,842     52,196     94,463     -     82,068     -     -     -     -     228,725    2,650,652     4,686,465     1,358     539,616     260     700,000     1,241,234



                          >1 - 5     years     rM’000     -     -     301,161     2,607,258     -     -     6,046,320     38,598     8,993,337     423,546     3,062     -     25,447     40,479     444,141     -     -     936,675    -    8,056,662     563,753     245,644     136     500,000     1,309,533



                          >6-12     Months     rM’000     -     -     -     123,899     -     919     1,898,467     112,027     2,135,312     725,795     485     -     208     76,516     -     -     499,881     1,302,885    -    832,427     76,100     433,772     2     241,944     751,818
                      Table 25: Maturity analysis of assets and liabilities based on remaining contractual maturity. (cont’d)



                          >3-6     Months     rM’000     -     -     12,176     131,976     -     12,516     1,121,802     -     1,278,470     2,894,806     283     -     11,827    943    -     250,642     2,811     3,161,312    -    (1,882,842)    46,925     74,779     161     917,416     1,039,281



                          >1-3     Months     rM’000     -     30,417     -     635,472     -     7,580     1,286,412     -     1,959,881     3,232,770     28     6,310     19,277     5,367     -     -     -     3,263,752    -    (1,303,871)    31,617     199,988    –    864,001     1,095,606



                          >7 Days -     1 Month     rM’000     563,710     -     -     149,868     -     20,059     665,038     646     1,399,321     4,662,369     25     -     24,734     23,084     -     -     -     4,710,212    -    (3,310,891)    4,187     93,499     88     820,123     917,897



                         up to     7 Days     rM’000      2,369,462     -     -     -     -     6,746     59,498    3     2,435,706     9,509,844     -     -     3,772     -     -     -     -     9,513,656    -    (7,077,950)    7,439     65,182     6,455     483,039     562,115

















              lIquIDITy rIsK (conT’D) liquidity and funding risk (cont’d)  31 December 2020   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 Dep













              8.4           group   AsseTs
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