Cathay Pacific 2010 Annual Report Download - page 96

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94
32. Financial risk management (continued)
Group Company
2009
Level 1
HK$M
2009
Level 2
HK$M
2009
Level 3
HK$M
2009
Total
HK$M
2009
Level 1
HK$M
2009
Level 2
HK$M
2009
Level 3
HK$M
2009
Total
HK$M
Assets
Investments at fair value
– listed 175 175
– unlisted 1,373 1,373 1,328 1,328
Liquid funds
– funds with investment
managers 2,370 2,370
– other liquid investments 1,388 1,388 1,146 1,146
Derivative financial assets 2,637 2,637 2,624 2,624
175 6,395 1,373 7,943 – 3,770 1,328 5,098
Liabilities
Obligations under finance
leases designated as at fair
value through profit or loss (4,474) (4,474) (4,474) (4,474)
Derivative financial liabilities (2,727) (2,727) (2,584) (2,584)
– (7,201) – (7,201) – (7,058) – (7,058)
The movement during the year in the balance of level 3 fair value measurements is as follows:
Group
HK$M
Company
HK$M
Investments at fair value – unlisted
At 1st January 2010 1,373 1,328
Disposals (396) (396)
Net unrealised gains or losses recognised in other comprehensive
income during the year 255 201
At 31st December 2010 1,232 1,133
Group
HK$M
Company
HK$M
Investments at fair value – unlisted
At 1st January 2009 992 916
Net unrealised gains or losses recognised in other comprehensive
income during the year 381 412
At 31st December 2009 1,373 1,328
Notes to the Accounts SUPPLEMENTARY INFORMATION