Page 326 - Bank-Muamalat_Annual-Report-2023
P. 326

BANK MUAMALAT MALAYSIA BERHAD




          NOTES TO THE
          FINANCIAL STATEMENTS
          31 DECEMBER 2023 (18 JAMADIL AKHIR 1445H)





                              Effective    profit    rate %    2.5%  0.1%  0.0%   -  -  4.2%  4.8%  -   -   -  -


                                                                             -
                                 Total     RM’000    26,340,353   301,158    303,388    20,218   23,111    733,174     806,596     136,513    28,664,511   2,868,764   31,533,275  1,200,000    1,200,000

                              Trading     books     RM’000    -    -    -     -    23,111    -     -    -    -    23,111     -    23,111    101,362    1,200,000    -    (2,750,997)  1,301,362


                              Over   Non-profit     sensitive     5 years     RM’000     RM’000    675,454     -     -    -    296,138    -   20,218   -    -    673    -    6,596    -    136,513   -    1,135,592    -    2,868,764   -    4,004,356    -    (2,750,997)    3,432,362    -    3,432,362







                                 months   >1-2 years    >2-3 years    >3-4 years    >4-5 years     RM’000     315,303    582,501    897,804    897,804    110,380    110,380
                                   RM’000     350   -    5,000    -    -     -   300,000    -    305,350   -    305,350    168,240    -    168,240


                                   RM’000    50,258   -    -     -    -    -   500,000     -    550,258     -    550,258    (39,643)    -    (39,643)


                                          -      -    -   -     -    -    -        -
           FINANCIAL RISK MANAGEMENT OBJECTIVES AND POLICIES (CONT’D.)

                                   RM’000     6,198,007   -    250   -    -    -    -   -    6,198,257    -   6,198,257    -


                               >3-12     RM’000    3,228,459   -     1,800     -    -    150,000     -    -    3,380,259     -    3,380,259    (851,160)   (4,290,680)    -    (851,160)   (4,290,680)


                               >1-3     Up to     months    1 month     RM’000    RM’000     6,222,666    9,649,856    -    301,158   -   200     -   -    -    -    -    -   -   -     -    -   6,222,666    9,951,214    -   -    6,222,666    9,951,214    (4,884,694)    9,004,830    -    -    (4,884,694)    9,004,830   This is arrived at after deducting individual assessment allowance from the gross impaired financing.












               Market risk (cont’d.)   Types of market risk (cont’d.) Non-traded market risk (cont’d.)  Rate of return risk (cont’d.)     Bank   2022   LIABILITIES AND EQUITY  Deposits from customers   Investment accounts of customers    Deposits and placements of    banks and other financial    institutions   Bills and acceptances payable   Islamic derivative financial liabilities   Recourse obligation on financing    sold to Cagamas Berhad    Subordinated sukuk    Other non-profit sensitiv










               (b)     (ii)
           47.




          324
   321   322   323   324   325   326   327   328   329   330   331