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14. Financial instruments by category

in thousand EUR   at amortized
costs
  at fair value
through profit and loss
  at fair value
through OCI
  Total
31 December 2018                
Assets                
Cash and cash equivalents   2 798       2 798
Trade and other receivables   7 511       7 511
Non-current financial assets       466   466
Total   10 309     466   10 775
in thousand EUR   at fair value
through profit and loss
  at amortized
costs
  Total
31 December 2018            
Liabilities            
Trade and other payables     9 448   9 448
Financial liabilities     37 240   37 240
Total     46 688   46 688
in thousand EUR   Loans and
receivables
  Assets at fair value
through profit and loss
  Available-for-sale
assets
  Total
31 December 2017                
Assets                
Cash and cash equivalents   2 136       2 136
Trade and other receivables   6 865       6 865
Non-current financial assets       449   449
Total   9 000     449   9 449
in thousand EUR   Liabilities at fair value
through profit and loss
  Other financial liabilities
at amortized costs
  Total
31 December 2017            
Liabilities            
Trade and other payables     8 322   8 322
Financial liabilities     33 419   33 419
Total     41 741   41 741
Fair value hierarchy

The Group uses the following hierarchy for determining and disclo­sing the fair value of financial instruments by valuation technique:

Level 1 – quoted (unadjusted) prices in active markets for identical assets or liabilities

Level 2 – other techniques for which all inputs that have a significant effect on the recorded fair value are observable, either directly or indirectly

Level 3 – techniques that use inputs, which have a significant effect on the recorded fair value, and which are not based on observable market data

Assets measured at fair value
in thousand EUR   31 December 2018   Level 1   Level 2   Level 3
Non-current financial assets   466       466
Total   466       466
in thousand EUR   31 December 2017   Level 1   Level 2   Level 3
Non-current financial assets   449       449
Total   449       449
Reconciliation of fair value measurement of level 3 financial assets
in thousand EUR   2018   2017
At 1 January   449   491
Currency effects   17   –42
At 31 December   466   449