Note 19 Cash and cash equivalents

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A B C D E F G
Note 19 Cash and cash equivalents            
  2016 2015        
Restricted deposits related to employees’ tax deduction 10 017 8 318        
Restricted bank deposits related to clearing account for financial price contracts*) 0 1 513        
Restricted bank deposits related to fixed interest rate on a current basis 160 000 0        
Other cash and bank deposits 333 597 382 189        
Total 503 613 392 020        
             
The Group’s currency and interest rate exposure is described in note 3.            
           
             
             
             
             
             
             
             
             
             
             
             
             
             
             
             
             

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