

Note 29.7 Fair value measurements (continued)
(
`
cr)
ii) Assets and liabilities for which fair values are disclosed
as at March 31, 2019
Note Level 1 Level 2 Level 3 Total
Financial assets
Investments:
Government securities
6.2
-
0.01
-
0.01
Investment in NHAI bonds
6.2
-
0.10
-
0.10
Security deposits for utilities and premises
8
-
-
ǨȦǪǭ
ǨȦǪǭ
¹ūƥîŕ ǛŠîŠČĿîŕ îƙƙĚƥƙ
-
0.11
2.47
2.58
Financial liabilities
Borrowings
16
-
-
ǫǪȦǭǫ ǫǪȦǭǫ
Security deposits
17
-
-
ǨǫȦǪǨ ǨǫȦǪǨ
¹ūƥîŕ ǛŠîŠČĿîŕ ŕĿîċĿŕĿƥĿĚƙ
-
-
80.17
80.17
Investment properties
3
-
- 110.00
110.00
(
`
cr)
iii) Financial assets and liabilities measured at fair value as at
March 31, 2018
Note Level 1 Level 2 Level 3 Total
Financial assets
Financial investments at FVPL:
Mutual funds
6.3
-
5.70
-
5.70
Financial investments at FVOCI:
Quoted equity shares
6.2
ǪǫǨȦǪǯ
-
-
ǪǫǨȦǪǯ
ÀŠƐƭūƥĚē ĚƐƭĿƥNj ƙĺîƑĚƙ
1
6.2
-
-
0.81
0.81
Share application money
6.2
-
0.01
-
0.01
Derivatives designated as hedges:
Currency options
8
-
0.05
-
0.05
¹ūƥîŕ ǛŠîŠČĿîŕ îƙƙĚƥƙ
452.49
5.76
0.81
459.06
Biological assets
Tissue culture raised date palms
-
-
22.70
22.70
Total biological assets
-
-
22.70
22.70
Consolidated
|
Notes to the Financial Statements
229