170 Annual Report 2021 16. INVESTMENT IN ASSOCIATES (CONT’D) The reconciliation of net assets to carrying amount of the associates is as follows: RMSB PHMMSB DHSB SMMSB Total RM RM RM RM RM 2021 Group’s share of net assets 5,171,369 2,758,665 4,555,486 49 12,485,569 Group’s share of results in associates 13,536 (2,141,336) (263,196) - (2,390,996) 2020 Group’s share of net assets 5,157,834 - 4,818,682 - 9,976,516 Group’s share of results in associates (534,208) (4,386,377) (193,108) - (5,113,693) 17. OTHER INVESTMENT The Group 2021 2020 RM RM Financial asset at fair value through profit or loss Quoted shares in Malaysia At beginning of year 132,496 - Additions during the year 1,474,925 129,250 Disposal during the year (1,212,362) - Changes in fair value (39,239) 3,246 At end of year 355,820 132,496 Fair value hierarchy for other investment has been disclosed in Note 45. Notes to the Financial Statements FOR THE FINANCIAL YEAR ENDED 30 SEPTEMBER 2021
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