37. FINANCIAL INSTRUMENTS (CONT’D) 37.5 FAIR VALUE INFORMATION (CONT’D) Fair Value of Financial Instruments Not Carried At Fair Value Total Fair Value Carrying Amount Level 1 Level 2 Level 3 The Group RM’000 RM’000 RM’000 RM’000 RM’000 2024 Financial Liability IMTN - 196,655 - 196,655 196,655 The Company 2025 Financial Liability IMTN - 197,547 - 197,547 197,547 2024 Financial Liability IMTN - 196,655 - 196,655 196,655 (a) Fair Value of Financial Instruments Carried at Fair Value The fair values of quoted investment is determined at its quoted closing bid price at the end of the reporting period. 241 Annual Report 2025
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