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169

NOTES TO THE FINANCIAL STATEMENTS

F i m a C o r p o r at i o n B e r h a d ( 2 1 1 8 5 - P ) •

A n n u a l R e p o r t 2 0 1 8

35. FINANCIAL INSTRUMENTS (CONT’D.)

(a)

Classification of financial instruments (Cont’d.)

The following table presents the Group’s and the Company’s other financial assets that are measured at fair value as at

31 March 2018 and 31 March 2017.

Date of

Valuation

Group

Level 1

RM’000

Company

Level 1

RM’000

As at 31 March 2018

Assets Disclosed at Fair Value:

Short term cash investments

31 March 2018

43,883

7,983

Date of

Valuation

Group

Level 3

RM’000

Company

Level 3

RM’000

As at 31 March 2018

Assets Disclosed at Fair Value:

Investment properties (Note 13)

31 March 2018

61,805

50,005

As at 31 March 2017

Assets Disclosed at Fair Value:

Investment properties (Note 13)

31 March 2017

63,010

51,010