Fair values of financial instruments – Final Results for the year ended 30 June 2016

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Fair values of financial instruments

The group uses quoted prices in active markets that are unadjusted for identical assets and liabilities for financial instrumens measured at level 1. The values of all other financial instruments recognised, but not subsequently measured at fair value approximate fair value.

  Year ended
30 June 2016
Reviewed
Year ended
30 June 2015
Audited
R'000 Level 1 Level 1
Assets measured at fair value    
Available-for-sale investments 180 084 233 972
Other investments 44 591 47 808
  224 675 281 780