KENANGA ANNUAL REPORT 2019
291 NOTES TO THE FINANCIAL STATEMENTS 31 DECEMBER 2019 51. FAIR VALUE OF FINANCIAL INSTRUMENTS (CONT’D.) Fair value measurement (cont’d.) Group 2018 Level 1 RM’000 Level 2 RM’000 Level 3 RM’000 Total RM’000 Financial assets measured at fair value Financial assets at FVTPL - Debt securities - 114,171 - 114,171 - Equity securities 37,638 6,338 31,077 75,053 Financial investments at FVOCI - Debt securities - 1,659,922 - 1,659,922 - Equity securities - - 1,754 1,754 Derivative financial assets - 71,992 - 71,992 Financial assets for which fair values are disclosed Financial investments at AC - 125,156 - 125,156 Loans, advances and financing - - 2,002,626 2,002,626 37,638 1,977,579 2,035,457 4,050,674 Financial liability measured at fair value Derivative financial liabilities 1,854 10,839 - 12,693 Financial liabilities for which fair values are disclosed Obligations on securities sold under repurchase agreements - 83,067 - 83,067 Borrowings - 114,409 - 114,409 1,854 208,315 - 210,169
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