NOTES TO THE FINANCIAL STATEMENTS 31 DECEMBER 2023 327 OUR SUSTAINABILITY APPROACH HOW WE ARE GOVERNED FINANCIAL STATEMENTS SHAREHOLDERS’ INFORMATION ADDITIONAL INFORMATION 52. FAIR VALUE OF FINANCIAL INSTRUMENTS (CONT’D.) FAIR VALUE MEASUREMENT (CONT’D.) Bank 2023 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 - Fund - 100,000 - 100,000 - Equity securities 267,271 - 71,203 338,474 Financial investments at FVOCI - Debt securities - 875,939 - 875,939 - Equity securities - - 1,343 1,343 Derivative financial assets - 75,938 - 75,938 Financial assets for which fair values are disclosed Financial investments at AC - 484,183 - 484,183 Loans, advances and financing - - 1,733,014 1,733,014 267,271 1,536,060 1,805,560 3,608,891 Financial liability measured at fair value Derivative financial liabilities 23,014 22,083 - 45,097 Financial liabilities for which fair values are disclosed Obligations on securities sold under repurchase agreements - 97,232 - 97,232 Borrowings - 172,003 - 172,003 Deposits from customers - 3,764,714 - 3,764,714 Deposits and placements of banks and other financial institutions - 331,803 - 331,803 Others - 491,438 - 491,438 23,014 4,879,273 - 4,902,287
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