FINANCIAL REPORT 2015
Quoted prices in active markets for identical instruments: LEVEL 1
Valuation based on observable data: LEVEL 2
Valuation based on unobservable data: LEVEL 3
Total 31.12.2014 Restated (1)
(in thousands of euros)
FINANCIAL ASSETS HELD-FOR-TRADING Securities held-for-trading - Treasury bills and similar securities
504 884
0
504 884
0
0
Derivative instruments
504 884
504 884
AVAILABLE-FOR-SALE FINANCIAL ASSETS
19 464 749
19 457 609
7 140
0
Treasury bills and similar securities
6 686 190
6 686 190
Bonds and other fixed income securities
12 771 131
12 771 131
0
Equities and other variable- income securities
7 428
288
7 140
HEDGING DERIVATIVE INSTRUMENTS
407
0
407
0
TOTAL FINANCIAL LIABILITIES OF WHICH FAIR VALUE IS DISCLOSED
19 970 040
19 457 609
512 431
0
(1) Restated amounts compared with the financial statements published in 2014, following the application of IFRIC 21
Financial liabilities measured at fair value
Quoted prices in active markets for identical instruments: LEVEL 1
Valuation based on observable data: LEVEL 2
Valuation based on unobservable data: LEVEL 3
(in thousands of euros)
Total 31.12.2015
FINANCIAL ASSETS HELD-FOR-TRADING
332 553
0
332 553
0
Derivative instruments
332 553
332 553
HEDGING DERIVATIVE INSTRUMENTS
99 567
99 567
TOTAL FINANCIAL LIABILITIES MEASURED AT FAIR VALUE
432 120
0
432 120
0
Quoted prices inactive markets for identical instruments: LEVEL 1
Valuation based on observable data: LEVEL 2
Valuation based on unobservable data: LEVEL 3
Total 31.12.2014 Restated (1)
(in thousands of euros)
FINANCIAL ASSETS HELD-FOR-TRADING
476 077
0
476 077
0
Derivative instruments
476 077
476 077
HEDGING DERIVATIVE INSTRUMENTS
106 315
0
106 315
0
TOTAL FINANCIAL LIABILITIES MEASURED AT FAIR VALUE
582 392
0
582 392
0
(1) Restated amounts compared with the financial statements published in 2014, following the application of IFRIC 21
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