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192            KUMPULAN WANG PERSARAAN (DIPERBADANKAN)  FoR BEttER REtURNS



                                                    notes to the
                                               financial statements
                                          for the year ended 31 december 2022


          14.  DEBT INSTRUMENT AT AMORTISED COST (CONTINUED)
             (d)  Write-offs still under enforcement activity

                there was no outstanding contractual amount written off during the year (2021: nil).


          15.  FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS

                                                                 Group                     KWAP
                                                        31 December   31 December   31 December   31 December
                                                               2022         2021         2022         2021
                                                             RM’000       RM’000       RM’000       RM’000

             Non-Current
             debt instruments at fair Value through
               profit or loss                               580,340      604,916      552,139      576,387
             equity instruments at fair Value through
               profit or loss
               - Quoted                                   42,762,679   48,183,617   42,762,679   48,183,617
               - unquoted                                  8,508,648    6,788,460    8,508,648    6,788,460
                                                          51,271,327   54,972,077   51,271,327   54,972,077

             Current
             debt instruments at fair Value through
               profit or loss                               258,566      364,373      465,848      573,040


          16.  DEBT INSTRUMENTS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME

                                                                 Group                     KWAP
                                                        31 December   31 December   31 December   31 December
                                                               2022         2021         2022         2021
                                                             RM’000       RM’000       RM’000       RM’000
             debt instruments at fair Value through
               other comprehensive income                 39,202,380   36,011,956   39,202,380   36,011,956
                                                          39,202,380   36,011,956   39,202,380   36,011,956
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