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Integrated Annual Report 2021-22




           (b)  Fair value hierarchy
                All assets and liabilities for which fair value is measured or disclosed in the Consolidated Financial Statements are categorised within
               the fair value hierarchy, described as follows:
               Level 1 - Quoted (unadjusted) market prices in active markets for identical assets or liabilities
                Level 2 - Valuation techniques for which the lowest level input that is significant to the fair value measurement is directly or indirectly
               observable
               Level 3 - Valuation techniques for which the lowest level input that is significant to the fair value measurement is unobservable.
                The following table provides the fair value measurement hierarchy of the Group’s financial assets and liabilities that are measured at
               fair value or where fair value disclosure is required:



                                                                                                      ` in crore
                                                                        As at March 31, 2022
                                                                    Fair value measurement using
               Particulars                                        Quoted prices in   Significant   Significant
                                                        Total      active markets   observable   unobservable
                                                                     (Level 1)   inputs (Level 2)  inputs (Level 3)
               Assets measured at fair value:
               Derivative financial assets
               Commodity swaps                              976.49             -         976.49             -
               Forward contracts                              1.48             -           1.48             -
               FVTOCI financial investments
               Quoted equity instruments                   4,354.81      4,354.81            -              -
               Unquoted equity instruments                  618.95             -             -         618.95
               FVTPL financial investments
               Investment in mutual funds                  1,325.06            -        1,325.06            -
               Quoted debt instruments                      150.00         150.00            -              -
               Liabilities measured at fair value:
               Derivative financial liabilities
               Forward contracts                              6.41             -           6.41             -
               Interest rate swaps                           14.26             -          14.26             -
               There have been no transfers between levels during the period.
























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