MISC - Annual Report 2015

238 REDISCOVER |  REBUILD |  SUSTAIN Notes to the financial statements - 31 December 2015 26. Other reserves Other capital Capital reserve reserve RM’000 RM’000 26(c) 26(b) Group At 1 January 2015 41,415 435,284 Currency translation differences:  Group – –  Associates – –  Joint ventures – – Fair value gain on non-current investments – – Fair value gain on cash flow hedges:  Group – –  Joint ventures – – At 31 December 2015 41,415 435,284 At 1 January 2014 41,415 435,284 Currency translation differences:  Group – –  Associates – –  Joint ventures – – Fair value loss on non-current investments – – Fair value (loss)/ gain on cash flow hedges:  Group – –  Joint ventures – – Reclassification to income statement on disposal  of non-current quoted equity investment – – Reclassification to income statement on termination  of hedging arrangements – – Reclassification to income statement on maturity  of hedging arrangements – – At 31 December 2014 41,415 435,284

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