Annual Report 2020
209
Notes to the Financial Statements
As at 31 March 2020
kumpulan Fima Berhad
(197201000167)(11817-V)
41. 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
2020 and 2019 respectively.
Date of
valuation
Group
Level 1
RM'000
Company
Level 1
RM'000
As at 31 March 2020
Assets disclosed at fair value:
Short term cash investments
31 March 2020
171,591
3,061
As at 31 March 2019
Assets disclosed at fair value:
Short term cash investments
31 March 2019
148,122
-
Date of
valuation
Group
Level 3
RM'000
Company
Level 3
RM'000
As at 31 March 2020
Assets disclosed at fair value:
Investment properties (Note 16)
31 March 2020
79,575
3,830
Assets measured at fair value:
Biological asset (Note 21)
31 March 2020
6,865
-
As at 31 March 2019
Assets disclosed at fair value:
Investment properties (Note 16)
31 March 2019
80,130
3,830
Assets measured at fair value:
Biological asset (Note 21)
31 March 2019
4,504
-