Information regarding the fair value of financial instruments
The carrying amounts of the cash and cash equivalents, trade receivables and other financial assets (6,487 ) approximate the fair values as of the balance sheet date.
The carrying amounts of the trade payables, the miscellaneous other financial liabilities (a total of6,708 ) as well as the current financial debt approximate the fair values as of the balance sheet date.
Of the figure stated for receivables and other assets as of June 30, 2018,635 was attributable to non-financial assets (as of December 31, 2017: 566 ; as of June 30, 2017; 571 ). Of the figure stated for other liabilities as of June 30, 2018, 2,169 was attributable to non-financial liabilities (as of December 31, 2017: 2,067 ; as of June 30, 2017; 2,220 ).
The fair value of the non-current financial debt amounted to21,484 as of June 30, 2018 (as of December 31, 2017: 21,331 ; as of June 30, 2017; 20,018 ).
Der beizulegende Zeitwert der langfristigen Finanzschulden betrug per 30. Juni 2018 21.48. (per 31. Dezember 2017: 21.33 . , per 30. Juni 2017: 20.01 . ).
Figure adjusted due to the effects of the retrospective application of the change in method in accounting for pension obligations in the rriva segment.