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Annual Report & Accounts 2016 - Notes
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103 25. FINANCIAL INSTRUMENTS AND RISK MANAGEMENT CONTINUED 25.7 Summary of financial assets and liabilities by category The carrying amounts of the Group's financial assets and liabilities recognised at the reporting date are categorised as follows: 2016 €m 2015 €m NON-CURRENT ASSETS: Available for sale financial assets 2.6 2.6 Financial assets measured at fair value through profit or loss: - Deferred and contingent consideration 4.9 - Non-current assets 7.5 2.6 CURRENT ASSETS: Financial assets measured as loans and receivables: - Trade and other receivables 108.0 23.1 - Short-term investments 9.9 - - Cash and cash equivalents 367.0 28.2 Financial assets measured at fair value through profit or loss: - Deferred and contingent consideration 1.5 - - Derivative financial assets 26.2 3.8 Current assets 512.6 55.1 CURRENT LIABILITIES: Financial liabilities measured at amortised cost: - Trade and other payables (114.0) (26.7) - Non-interest bearing loans and borrowings (403.5) (3.0) - Deferred consideration - (1.6) Financial liabilities measured at fair value through profit or loss: - Contingent consideration - - - Derivative financial liabilities - (9.9) Current liabilities (517.5) (52.5) NON-CURRENT LIABILITIES: Financial liabilities measured at amortised cost: - Interest-bearing loans and borrowings - (19.9) - Share option liability - (2.0) Financial liabilities measured at fair value through profit or loss: - Contingent consideration (4.4) - - Derivative financial liabilities - (0.7) Non-current liabilities (4.4) (22.6)