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ANNUAL REPORT 2024                                            1   2  3   4  5  6   7  Our Numbers  8  315













                                  Effective    profit    rate %  3.2%  3.7%  5.0%  3.6%  -  5.5%   -  -  3.2%  0.1%   4.7%  -  -  4.0%  4.8%  -



                                    Total     RM’000    2,116,600    502,166   14,888    7,569,971    14,496  32,263,444    85,905  1,094,386  43,661,856  36,462,088    245,707   838,721   6,027  17,309  1,584,301    807,369    201,395  40,162,917  3,498,939




                                 Trading     books     RM’000    -    -    -   75,186    14,496  -   -  -  89,682    -   -  -   -  17,309   -   -   -  171309    72,373




                                  Non-profit     sensitive     RM’000     331,350   2,166    8,817    215,612    -  132,233    85,905  1,094,386  1,870,469    1,003,314    245,707  381,173   6,027  -   6,515   7,369    201,395  1,851,500    18,969



                                 Over     5 years     RM’000     -    -   -   1,600,598    -  3,339,556    -  -  41,940,154    -   -  -   -  -  -   800,000    -  800,000    4,140,154




                                    1-5 years     RM’000    4,715,583    1,882,941    6,598,524    708,439    5,000    550,000   1,263,439    5,335,085
                                               -   -    -   -  -  -        -      -  -   -   -
              FINANCIAL RISK MANAGEMENT OBJECTIVES AND POLICIES (CONT’D.)


                                  >3-12    months     RM’000    -   -   6,071   927,951    -  189,072    -  -  1,123,094     11,942,014    -  -   -  -  1,027,786    -   -



                                  >1-3    months    RM’000     -    500,000    -   35,041    -  27,777    -  -  562,818    5,145,623   -  111,819    -  -  -   -   -  5,257,442  121,969,800    (4,694,624)  (11,846,706)



                                 Up to     1 month     RM’000    1,785,250   -    -   -   -  26,691,865    -  -  28,477,115    17,662,698    -  340,729    -  -  -   -   -  18,003,427    10,473,688   This is arrived at after deducting impairment allowances 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.)        Group   2024  ASSETS Cash and short-term funds   Deposits and placements with   licensed financial institutions   Financial investments at FVTPL   Financial investments at FVOCI   Islamic derivative financial assets    Financing of customers:   - non-impaired    - impaired*   Other non-profit sensitive    balances    TOTAL ASSETS    LIABILITIES AND










                  (b)    (ii)
              47.
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