KENANGA ANNUAL REPORT 2025

213 NOTES TO THE FINANCIAL STATEMENTS 31 DECEMBER 2025 06 / FINANCIAL STATEMENTS 01 02 03 04 05 07 08 09 7. FINANCIAL INVESTMENTS OTHER THAN THOSE MEASURED AT FVTPL Group and Bank 2025 RM’000 2024 RM’000 (a) Financial instruments at Fair Value Through Other Comprehensive Income (“FVOCI”): Debt instruments: Malaysian Government Securities 165,842 291,869 Malaysian Government Investment Certificates 303,540 402,651 Islamic Corporate Sukuk 173,864 137,238 Corpoate Bonds 30,633 35,394 673,879 867,152 Equity instruments: Unquoted Shares in Malaysia 1,382 1,421 Total financial instruments at FVOCI 675,261 868,573 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 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 51(a). Group and Bank 2025 Internal rating grade Stage 1 RM’000 Stage 2 RM’000 Stage 3 RM’000 Total RM’000 Investment grade 673,879 - - 673,879 Group and Bank 2024 Internal rating grade Stage 1 RM’000 Stage 2 RM’000 Stage 3 RM’000 Total RM’000 Investment grade 867,152 - - 867,152

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