2021 

2020 

Item Item referenced in
Note
Note  Financial assets at amortised cost Financial assets at fair value through profit or
loss
Financial
instruments
designated for
hedge accounting
Total Financial assets at amortised cost Financial assets at fair
value through profit or loss
Financial
instruments
designated for hedge accounting
Total
Receivables Trade receivables Note 6.2.2.  11,437     11,437  4,449      4,449 
Derivative financial instruments   Note 7.2.    7,077  1,891  8,968    1,004  449  1,453 
Cash and cash equivalents   Note 5.4.  11,410      11,410  7,098      7,098 
Total     22,847  7,077  1,891  31,815  11,547  1,004  449  13,000 

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