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                                    Notes to the Consolidated Financial Statements31 December 2024ESR Group Limited Annual Report 2024249STRATEGIC REPORTSCORPORATE GOVERNANCEFINANCIAL STATEMENTS45.FINANCIAL INSTRUMENTS BY CATEGORY (continued)31 December 2023Financial assets at fair value through profit or lossFinancial assets at amortised costFinancial assets at fair value through other comprehensive incomeTotalUS$%u2019000US$%u2019000US$%u2019000US$%u2019000Financial assetsFinancial assets at fair value through profit or loss837,314%u2013%u2013837,314Financial assets at fair value through other comprehensive income%u2013%u20131,050,4421,050,442Trade receivables%u2013532,861%u2013532,861Financial assets included in other non-current assets19,586149,577%u2013169,163Financial assets included in prepayments, other receivables and other assets3,486436,082%u2013439,568Pledged bank deposits%u2013632%u2013632Restricted bank balances%u201381,429%u201381,429Cash and bank balances%u2013915,657%u2013915,657Non-pledged fixed time deposits with maturity period over three months%u20133,850%u20133,850860,3862,120,0881,050,4424,030,916Financial liabilities at fair value through profit or lossFinancial liabilities at amortised costTotalUS$%u2019000US$%u2019000US$%u2019000Financial liabilitiesFinancial liabilities included in trade payables, accruals and other payables%u2013271,017271,017Interest-bearing bank and other borrowings%u20135,979,5535,979,553Lease liabilities%u201331,95731,957Contingent consideration payable%u201318,41018,410Financial liabilities included in other non-current liabilities112,86418,323131,187112,8646,319,2606,432,124
                                
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