MISC Annual Report 2017

NOTES TO THE FINANCIAL STATEMENTS MISC BERHAD | Annual Report 2017 278 36. FAIR VALUE DISCLOSURES (CONT'D.) Fair value information (cont'd.) Fair value of assets and liabilities carried at fair value Note  Level 1   Level 2   Level 3   Total  RM'000 RM'000 RM'000 RM'000 Group At 31 December 2016 Financial assets: Non-current quoted equity investment 18(a) 66,687  -  -  66,687 Interest rate swaps designated as hedging instruments 18(b) -  1,472  -  1,472 66,687  1,472 -  68,159 Non-financial asset: Non-current assets classified as held  for sale 24 -  -  175,035 175,035 Financial liabilities: Interest rate swaps designated as hedging instruments 18(b) -  (691) -  (691) Forward exchange  contract 18(b) -  (6,655) -  (6,655) Term loans -  (3,487,753) -  (3,487,753) -  (3,495,099) -  (3,495,099)

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