KENANGA ANNUAL REPORT 2019

173 NOTES TO THE FINANCIAL STATEMENTS 31 DECEMBER 2019 7. FINANCIAL INVESTMENTS OTHER THAN THOSE MEASURED AT FVTPL (CONT’D.) (b) Financial instruments at amortised cost (cont’d.): Included in financial investments measured at FVOCI are financial assets sold under repurchase agreements as follows: Group and Bank 2019 RM’000 2018 RM’000 Corporate Bond (Note 25) - 83,067 - 83,067 8. DERIVATIVE FINANCIAL ASSETS Group and Bank 2019 RM’000 2018 RM’000 At fair value Dual currency investment - Options 11 115 Equity related contracts - Options 58,659 69,585 Equity related contracts - Swap 3,602 2,292 Synthetic protected forward 2,902 - 65,174 71,992 Contract/Notional amount Dual currency investment - Options 4,509 13,636 Equity related contracts - Options 66,528 100,319 Equity related contracts - Swap 52,340 14,771 Synthetic protected forward 77,667 - 201,044 128,726 The contractual or underlying notional amounts of derivative financial assets held at fair value through profit or loss reflect the value of transactions outstanding as at reporting date, and do not represent amounts at risk.

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