Malayan Banking Berhad Financial Analysis slide image

Malayan Banking Berhad Financial Analysis

Note: Overview: Group Wealth Management & Group Securities Portfolios Group Wealth Management Total Financial Assets grew 5.5% YoY to RM420.3 billion contributed by investments growth of 4.4% and loan growth of 8.0% Group Securities Portfolio Group Securities Portfolio¹ grew 3.3% YoY +3.3% YoY RM billion 398.3 413.7 420.3 Dec 21 Sep 22 Dec 22 +5.5% YoY +1.6% QoQ 235.1 237.1 230.8 231.2 223.9 10.2 9.3 9.3 9.2 9.7 19.6 22.6 23.7 21.5 24.0 Note: Total Financial Assets (Deposits, Investments, Financing & Protection) Total wealth income increased by 19.0% YoY driven primarily by strong wealth fund income registering 26.3% YoY RM billion 5.72 4.81 1.24 1.26 4.48 3.55 FY2021 FY2022 Fund Fee +19.0% YoY Note: Premier & Privilege segments contribute to 93.7% of wealth income for FY2022 GWM TFA includes non-individual customers serviced by Client Advisors RM billion 68.2 70.6 67.3 70.2 65.6 56.3 64.3 58.8 60.1 53.7 81.3 76.6 65.8 69.8 70.4 Dec 21 Mar 22 - Govt. Securities Domestic PDS/Corp Bonds - Domestic Others Jun 22 Sep 22 Dec 22 ■Govt. Securities - Foreign PDS/Corp Bonds - Foreign Note: 44 1 Group Securities Portfolio is inclusive of Financial assets designated upon initial recognition (part of FVTPL)
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