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Annual Report 2013

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Fair values
Fair value measurements at the end of the reporting period:
MEUR Carrying amounts
of the statement
of financial
position items
Fair
value
Financial assets
Available-for-sale financial assets (level 3) 15 15
Interest-bearing investments, non-current (level 2) 20 20
Other receivables, non-current (level 2) 6 6
Other receivables, non-current (level 3) 21 21
Derivatives (level 2) 32 32
Financial liabilities
Interest-bearing debt, non-current (level 2) 585 599
Derivatives (level 2) 12 12

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