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)View entire presentation