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NotestotheConsolidatedFinancialStatements

(continued)

RCS GROUP CONSOLIDATED FINANCIAL STATEMENTS

2015

52

for the period ended 31 December 2015

30.

Risk management (continued)

Fair value hierarchy (continued)

The fair values of financial instruments, measured at fair value at the end of the reporting period, analysed by the level in the fair value

hierarchy into which the fair valuemeasurement is categorised are as follows:

Level 1

Level 2

Level 3

Total

R’000

R’000

R’000

R’000

31 March 2015

Interest rate swaps asset

15 249

15 249

Interest rate swaps liability

(27)

(27)

15 222

15 222