Singapore Shipping Corporation Limited - Annual Report 2016 - page 125

125
125
2015/2016 ANNUAL REPORT
NOTES TO THE FINANCIAL STATEMENTS
for the financial year ended 31 March 2016
26. FINANCIAL INSTRUMENTS (CONTINUED)
(g) Accounting classification and fair values (continued)
Carrying amount
Fair value
The Group
Note
Held
for trading
Fair value -
hedging
instruments
Loans
and
receivables
Other
financial
liabilities Total
Level 1 Level 2 Level 3 Total
US$’000 US$’000 US$’000 US$’000 US$’000 US$’000 US$’000 US$’000 US$’000
2015
Financial liabilities
measured at fair value
Derivative financial liabilities
21
(1,057)
– (1,057)
– (1,057)
– (1,057)
(1,057)
– (1,057)
Financial liabilities
not measured at fair value
Trade and other payables
18
(5,491)
(5,491)
Bank borrowings
20
(107,602) (107,602)
(113,093) (113,093)
1...,115,116,117,118,119,120,121,122,123,124 126,127,128,129,130,131,132,133,134,135,...143
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