Below are the financial statements of CIMB Group Holdings, including the income statement and balance sheet for the company's latest fiscal year. All figures are accurate, verifiable, and fully traceable to the original annual filing where disclosed.
All figures in millions of MYR | 2024 | 2023 |
---|---|---|
Assets | — | — |
Cash and short-term funds | 29,608.64a | 34,772.47a |
Reverse repurchase agreements/reverse collateralised commodity murabahah | 10,882.46a | 9,707.69a |
Deposits and placements with banks and other financial institutions | 5,167.78a | 3,207.62a |
Financial investments at fair value through profit or loss | 52,683.15a | 48,622.73a |
Debt instruments at fair value through other comprehensive income | 78,881.36a | 71,417.3a |
Equity instruments at fair value through other comprehensive income | 393.29a | 306.17a |
Debt instruments at amortised cost | 78,663.46a | 78,498.2a |
Derivative financial instruments | 15,022.06a | 15,644.9a |
Loans, advances and financing | 442,163.48a | 429,450.04a |
Other assets | 16,006a | 14,648.9a |
Tax recoverable | 416.8a | 340.8a |
Deferred tax assets | 1,400.94a | 1,934.31a |
Statutory deposits with central banks | 10,647.29a | 11,511.39a |
Investment in associates | 55.34a | 94.16a |
Investment in joint ventures | 2,279.62a | 2,302.37a |
Property, plant and equipment | 1,962.76a | 2,055.3a |
Right-of-use assets | 590.48a | 658.56a |
Investment properties | 8.49a | 2.76a |
Goodwill | 6,370.83a | 6,475.95a |
Intangible assets | 1,926.51a | 1,914.97a |
Non-current assets held for sale | 0a | 5.58a |
Total assets | 755,130.7a | 733,572.15a |
Liabilities | — | — |
Deposits from customers | 471,950.87a | 463,442.09a |
Investment accounts of customers | 24,443.31a | 18,984.13a |
Deposits and placements of banks and other financial institutions | 45,444.58a | 40,283.22a |
Repurchase agreements/collateralised commodity murabahah | 47,228.1a | 49,386.57a |
Financial liabilities designated at fair value through profit or loss | 12,731.9a | 12,429.24a |
Derivative financial instruments | 14,423.81a | 16,077.22a |
Bills and acceptances payable | 2,134.03a | 1,753.93a |
Other liabilities | 23,014.28a | 22,679.12a |
Lease liabilities | 521a | 548.62a |
Recourse obligation on loans and financing sold to Cagamas | 4,934.84a | 3,986.75a |
Provision for taxation and zakat | 136.79a | 356.2a |
Deferred tax liabilities | 54.48a | 52.5a |
Bonds, sukuk and debentures | 14,412.2a | 12,921.04a |
Other borrowings | 11,557.75a | 9,698.58a |
Subordinated obligations | 11,303.86a | 11,134.05a |
Total liabilities | 684,291.81a | 663,733.26a |
Equity | — | — |
Ordinary share capital | 29,439.25a | 29,094.55a |
Reserves | 39,805.15a | 39,233.02a |
Less: shares held under trust | -0.56a | -0.56a |
Treasury shares, at cost | -0.04a | -0.04a |
Capital and reserves attributable to owners of the Parent | 69,243.8a | 68,326.96a |
Perpetual preference shares | 200a | 200a |
Non-controlling interests | 1,395.09a | 1,311.93a |
Total equity | 70,838.89a | 69,838.89a |
Total equity and liabilities | 755,130.7a | 733,572.15a |
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