191 NOTES TO THE FINANCIAL STATEMENTS 31 DECEMBER 2022 KENANGA INVESTMENT BANK BERHAD Annual Report 2022 7. FINANCIAL INVESTMENTS OTHER THAN THOSE MEASURED AT FVTPL Group and Bank 2022 RM’000 2021 RM’000 (a) Financial instruments at Fair Value Through Other Comprehensive Income (“FVOCI”): Debt instruments: Malaysian Government Securities 19,373 40,042 Malaysian Government Investment Certificates 59,534 91,934 Islamic Negotiable Instruments of Deposits - 199,724 Islamic Corporate Sukuk 184,377 275,452 Corporate Bonds 54,595 128,962 317,879 736,114 Equity instruments: Unquoted Shares in Malaysia 1,294 1,460 Total financial instruments at FVOCI 319,173 737,574 Impairment losses on financial instruments subject to impairment assessment Debt instruments at FVOCI The table below shows the fair value of the Group’s and of the Bank’s debt instruments measured at FVOCI by credit risk, based on the Group’s and of the Bank’s internal credit rating system and year-end stage classification. Details of the Group’s and of the Bank’s internal rating system are explained in Note 50(a).
RkJQdWJsaXNoZXIy NDgzMzc=