

1 8 5
NOTES TO THE FINANCIAL STATEMENTS
31 MARCH 2018
Kumpulan Fima Berhad (11817-V) •
Annual Report 2018
38. Financial instruments (cont’d.)
(a) Fair value measurement (cont’d.)
The following table presents the Group’s and the Company’s assets that are measured at fair value as at 31 March 2018
and 2017 respectively.
Group
Company
Date of
Level 1
Level 1
valuation
RM’000
RM’000
As at 31 March 2018
Assets disclosed at fair value:
Short term cash investments
31 March 2018
51,886
8,003
Group
Company
Date of
Level 3
Level 3
valuation
RM’000
RM’000
As at 31 March 2018
Assets disclosed at fair value:
Investment properties (Note 14)
31 March 2018
77,515
3,830
As at 31 March 2017
Assets disclosed at fair value:
Investment properties (Note 14)
31 March 2017
78,790
3,830