Page 329 - BTSGroup ONE REPORT 2021/22_EN
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BTS Group Holdings Public Company Limited                                                                    6.4 Notes to Consolidated Financial Statements  327
               Annual Report 2021/22




                                                                         (Unit: Million Baht)                                                      (Unit: Million Baht)
                                                       Consolidated Financial Statements                                         Consolidated Financial Statements
                                                              As at 31 March 2022                                                      As at 31 March 2022
                                                        Level 1  Level 2  Level 3  Total                                         Level 1  Level 2  Level 3  Total
                     Assets for which fair value are disclosed
                                                                                               Assets for which fair value are disclosed
                     Financial assets measured at amortised cost                               Financial assets measured at amortised cost
                       Debt investments                   -      -    1,567   1,567              Debt investments                   -      -    2,755  2,755
                       Receivables due in the future under
                       agreements with government authorities  -  -   47,009 47,009              Receivables due in the future under   -   -    39,397 39,397
                                                                                                 agreements with government authorities
                     Investment properties                -    11,437   95   11,532            Investment properties                -    6,718   110   6,828
                     Investments in associates          49,457   -      -    49,457
                                                                                               Investments in associates         33,461    -      -    33,461
                     Liabilities for which fair value are
                                                                                               Liabilities for which fair value are
                     disclosed
                     Debentures                           -    59,415   -    59,415            disclosed
                                                                                               Debentures                           -    50,649   -    50,649
                     Assets measured at fair value
                     Financial assets measured at FVTPL
                       Debt investments                   -    1,695  3,498   5,193
                     Financial assets measured at FVOCI
                       Equity investments               11,832  1,741  429   14,002
                       Debt investments                   -    1,095    -     1,095
                     Derivatives
                       Derivative warrants and other derivatives  -  119  -   119
                       Foreign currency forward contracts   -   23      -      23
                     Land                                 -    2,326    -     2,326

                     Liabilities measured at fair value
                     Derivatives
                       Forward exchange agreements        -     203     -     203
                       Cross currency and interest rate swap  -  63     -      63
                       Interest rate swaps                -    3,674    -     3,674
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