2014 — Page 104

Yaumati Ferry 油蔴地小輪年報 All

NOTES TO THE FINANCIAL STATEMENTS (CONTINUED)

24 FINANCIAL RISK MANAGEMENT AND FAIR VALUES OF FINANCIAL

INSTRUMENTS (Continued)

Fair value measurement (Continued)

(e)

(i)

Financial assets measured at fair value (Continued)

Fair value hierarchy (Continued)

The Group

Recurring fair value measurement

Financial assets:

Available-for-sale securities:

- Listed

Recurring fair value measurement

Financial assets:

Available-for-sale securities:

- Listed

Fair value measurements as at 31 December 2014 categorised into

Fair value at

31 December

2014

HK$'000

Level 1

HK$'000

Level 2

HK$'000

Level 3

HK$'000

521,165

521,165

Fair value measurements as at 31 December 2013 categorised into

Fair value at

31 December

2013

HK$'000

Level 1

HK$'000

Level 2

HK$'000

Level 3

HK$'000

400,743

400,743

During the years ended 31 December 2013 and 2014, there were no transfers between Level 1 and Level 2, or transfers into or out of Level 3. The Group's policy is to recognise transfers between levels of fair value hierarchy as at the end of the reporting period in which they occur.

102

Hong Kong Ferry (Holdings) Company Limited Annual Report 2014

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