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ANNUAL REPORT

2016

N

otes To The Consolidated Financial Statements

AL MAZAYA HOLDING K.S.C.P. AND ITS SUBSIDIARIES

As At 31 December 2016

The following table shows a reconciliation of the opening and closing amount of level 3 assets which are recorded

at fair value:

Description of significant unobservable inputs to valuation of financial assets:

Managed portfolio and funds have been valued based on Net Asset Value (NAV) provided by the custodian of the

fund. The information relating to valuation techniques and significant unobservable inputs to valuation to compute

the sensitivity of the fair value measurement to changes in unobservable inputs in not available.

Non-financial assets

Investment properties were classified under level 2 and level 3 fair value hierarchy as follows:

At 1 January

2016

KD

At 1 January

2015

KD

Reclassification

from level 1 to

level 3

KD

Loss

recorded in the

consolidated

statement of

income

KD

Loss

recorded in the

consolidated

statement of

income

KD

Gain recorded

in other

comprehensive

income

KD

Loss recorded

in other

comprehensive

income

KD

Net purchases,

sales and

settlements

KD

Net purchases,

sales and

settlements

KD

At

31 December

2016

KD

At

31 December

2015

KD

Financial assets available for

sale:

Funds and managed portfolio

Financial assets available for

sale:

Funds and managed portfolio

7,146,012

7,413,632

1,961,956 )148,672(

)16,708(

92,046

)250,912(

)1,848,274(

-

7,203,068

7,146,012

Level 2

KD

Level 2

KD

Level 3

KD

Level 3

KD

Total

KD

Total

KD

Investment properties

Investment properties

20,973,946

50,553,670

108,313,029

64,452,915

129,286,975

115,006,585

2016

2015

120