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15C. FINANCIAL LIABILITIES CONTINUED
ANALYSIS OF BONDS AND OTHER LOANS
 mllon
Amortsed
cost
2013
 mllon
Far value
hedge
adustment
2013
 mllon
Total
2013
€ million
Amortised
cost
2012
€ million
Fair value
hedge
adjustment
2012
€ million
Total
2012
Unlever NV
Commercial paper 1,008 1,008 137 137
3.375% Bonds 2015 (€) 749 28 777 749 44 793
1.750% Bonds 2020 (€) 746 746 – – –
3.500% Notes 2015 (Swiss francs) 285 285 290 290
1.150% Notes 2014 (Renminbi) 36 36 36 36
4.875% Bonds 2013 (€) 749 14 763
3.125% Bonds 2013 (US $) 341 341
Other –––24 24
Total NV 2,824 28 2,852 2,326 58 2,384
Unlever PL
Commercial Paper 670 670 –––
4.750% Bonds 2017 (£) 478 478 488 488
4.000% Bonds 2014 (£) 419 419 427 427
Total PLC 1,567 1,567 915 915
Other group companes
Swtzerland
Other 5 – 5 6–6
Unted States
4.250% Notes 2021 (US $) 722 722 754 – 754
5.900% Bonds 2032 (US $) 716 716 749 749
3.650% Notes 2014 (US $) 544 544 568 568
4.800% Notes 2019 (US $) 543 543 567 567
2.200% Notes 2019 (US $) 537 537 – – –
0.850% Notes 2017 (US $) 395 395 412 412
2.750% Notes 2016 (US $) 362 362 378 378
Commercial paper (US $) 341 341 691 691
0.450% Notes 2015 (US $) 326 326 340 340
7.250% Bonds 2026 (US $) 209 209 218 218
6.625% Bonds 2028 (US $) 161 161 169 169
5.150% Notes 2020 (US $) 117 117 124 124
7.000% Bonds 2017 (US $) 107 107 111 111
5.600% Bonds 2097 (US $) 66 66 69 69
Other 16 16 14 14
Other countres 8–810 10
Total other group companies 5,175 5,175 5,180 5,180
Total bonds and other loans 9,566 28 9,594 8,421 58 8,479
Information in relation to the derivatives used to hedge bonds and other loans within a fair value hedge relationship is shown in note 16.
119
Unlever Annual Report and Accounts 2013 Fnancal statements