Notes to the Financial Statements
31 December 2015
36.
Fair value of assets and liabilities (cont’d)
(b)
Assets and liabilities measured at fair value
The following table shows an analysis of each class of assets measured at fair value at the end of the
reporting period:
Group
2015
Fair value measurements at the end of the reporting
period using
Quoted prices
in active
markets for
identical
instruments
6LJQLȴFDQW
observable
inputs
other than
TXRWHG
prices
6LJQLȴFDQW
unobservable
inputs
Total
(Level 1)
(Level 2)
(Level 3)
S$’000
S$’000
S$’000
S$’000
Recurring fair value
measurements
Assets:
Financial assets:
Financial assets at fair value
WKURXJK SURȴW RU ORVV
(Note 14)
- Equity
instruments (quoted)
3,245
–
–
3,245
Available-for-sale
ȴQDQFLDO DVVHWV
(Note 14)
- Equity
instruments (quoted)
1,710
–
–
1,710
Financial assets as at
31 December 2015
4,955
–
–
4,955
1RQ ȴQDQFLDO DVVHWV
Investment properties
(Note 10)
2ɝFH SUHPLVHV
–
–
1,550
1,550
- Workshop
–
–
1,800
1,800
1RQ ȴQDQFLDO DVVHWV DV DW
31 December 2015
–
–
3,350
3,350
ANNUAL REPORT 2015
87