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162    EXIM BANK MALAYSIA
            Annual Report 2020


          NOTES TO THE FINANCIAL STATEMENTS









          37.   BASIC/DILUTED EARNINGS/(LOSS) PER SHARE
                                                                            Group                     Bank
                                                                        2020        2019         2020        2019

              Issued ordinary shares as at 31 December (‘000)       2,708,665    2,708,665    2,708,665    2,708,665

              Profit/(Loss) after taxation (RM’000)                   51,150      (477,257)    51,150     (479,573)

              Basic/(diluted) loss per share (sen)                      1.89       (17.62)       1.89       (17.71)

              The basic/diluted loss per ordinary share has been calculated based on the loss after taxation and the weighted average
              number of ordinary shares during the year.

          38.   DIVIDENDS
              The holders of redeemable convertible cumulative preference shares are entitled to receive dividends at a fixed rate of 4.7%
              per annum as and when declared by the Bank.

          39.   COMMITMENTS AND CONTINGENCIES

                                                                                                 Group and Bank
                                                                                                 2020        2019
                                                                                              RM’000       RM’000
              Banking operation commitments
              Contracted but not provided for:
                Guarantee facility                                                            124,039      336,306
                Letter of credit                                                                3,281        5,598
                Undrawn loans and financing                                                  2,148,512    1,464,482
                                                                                             2,275,832    1,806,386

              Insurance operation commitments
              Contracted but not provided for:
                Within one year                                                               454,725      739,232
                One year or later and no later than five years                                366,635      483,275

                                                                                              821,360    1,222,507
              Operational commitments
              Approved but not contracted for:
                Within one year                                                                12,393        5,313
              Total commitments and contingencies                                            3,109,585    3,034,206
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