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Dec. 31, 2014 Carrying amount Dec. 31, 2014 Fair value Loans and receivables Available-for-sale financial assets Financial assets at fair value through profit or loss Hedging instruments (hedge accounting) at amortized cost at cost at fair value at fair value at fair value 124 Notes to Consolidated Financial Statements Cash and cash equivalents 277,128 277,128 thereof in Cash and cash equivalents 277,128 277,128 Trade accounts receivable 346,428 346,428 thereof in Trade accounts receivable 345,457 345,457 Other current assets 971 971 Other interest-bearing non-derivative financial assets 406 419 thereof in Long-term investments 378 391 Other current assets 28 28 Other non-interest-bearing non-derivative financial assets 44,308 133 44,441 thereof in Other non-current assets 133 133 Other current assets 44,308 44,308 Marketable securities and long-term investments 2,535 3,931 6,466 thereof in Long-term investments 1,315 1,315 Marketable securities 1,220 3,931 5,151 Derivative financial assets – hedge accounting 1,260 1,260 thereof in Other non-current assets 270 270 Other current assets 990 990 Derivative financial assets – without hedge accounting 2,883 2,883 thereof in Other non-current assets 88 88 Other current assets 2,795 2,795


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