Sasbadi Annual Report 2020

125 ANNUAL REPORT 2020 FINANCIAL STATEMENTS (continued) 26. Financial instruments (continued) 26.1 Categories of financial instruments (continued) Carrying amount AC FVTPL FVOCI - EIDUIR 2019 RM’000 RM’000 RM’000 RM’000 Financial assets Group Other investments 265 - 37 228 Trade and other receivables 49,482 49,482 - - Cash and cash equivalents 7,443 7,443 - - 57,190 56,925 37 228 Company Trade and other receivables 23,101 23,101 - - Cash and cash equivalents 24 24 - - 23,125 23,125 - - Financial liabilities Group Loans and borrowings (35,360) (35,360) - - Trade and other payables (17,484) (17,484) - - (52,844) (52,844) - - Company Trade and other payables (7,260) (7,260) - - 26.2 Net gains and losses arising from financial instruments Group Company 2020 2019 2020 2019 RM’000 RM’000 RM’000 RM’000 Net gain/(loss) on: Equity instruments designated at fair value through other comprehensive income - recognised in profit or loss 5 7 - - - recognised in other comprehensive income (38) 19 - - (33) 26 - - Financial assets measured at amortised cost (1,122) (456) 1 1 Financial liabilities measured at amortised cost (2,190) (2,905) - - (3,345) (3,335) 1 1

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