IRPC Annual Report 2023

66 (Unit: Million Baht) Separate financial statements As at 31 December 2023 Level 1 Level 2 Level 3 Total Assets measured at fair value Financial assets measured at FVOCI Equity investments 40 - 1,631 1,671 Derivatives Forward contracts - 75 - 75 Interest rate swaps contracts - 67 - 67 Liabilities measured at fair value Derivatives Cross currency interest rate swap contracts - 137 - 137 Assets for which fair value are disclosed Investment property - 1,104 - 1,104 Liabilities for which fair value are disclosed Debentures - 43,781 - 43,781 (Unit: Million Baht) Separate financial statements As at 31 December 2022 Level 1 Level 2 Level 3 Total Assets measured at fair value Financial assets measured at FVOCI Equity investments 52 - 1,630 1,682 Derivatives Interest rate swaps contracts - 155 - 155 Liabilities measured at fair value Derivatives Cross currency interest rate swap contracts - 149 - 149 Assets for which fair value are disclosed Investment property - 1,104 - 1,104 Liabilities for which fair value are disclosed Debentures - 34,323 - 34,323 In 2023 and 2022, there were no transfers within the fair value hierarchy. 359 56-1 ONE REPORT 2023 Notes to the Consolidate Financial Statements

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