Interim Report 2021

舜宇光學科技(集團)有限公司 • 2021 中報 97 Notes to the Condensed Consolidated Financial Statements 簡明綜合財務報表附註 FOR THE SIX MONTHS ENDED 30 JUNE 2021 截至二零二一年六月三十日止六個月 32. 公允值計量(續) 按經常性基準以公允值計量的本集 團金融資產及金融負債的公允值 (續) Financial assets Fair value as at Fair value hierarchy Valuation technique and key inputs 金融資產 於以下日期的公允值 公允值等級 估值法及主要輸入數據 30 June 2021 (unaudited) 31 December 2020 (audited) 二零二一年六月三十日 (未經審核) 二零二零年十二月三十一日 (經審核) Foreign currency options contracts classified as derivatives financial assets and liabilities 分類為衍生金融資產及負債的外匯期權合約 Current derivative financial assets: nil 流動衍生金融資產:無 Current derivative financial liabilities: RMB1,931,000 流動衍生金融負債: 人民幣 1,931,000 元 Current derivative financial assets: RMB3,650,000 流動衍生金融資產: 人民幣 3,650,000 元 Current derivative financial liabilities: RMB96,805,000 流動衍生金融負債: 人民幣 96,805,000 元 Level 3 第三級 Black-scholes model Key unobservable input: Volatility of the foreign exchange rate (Note a) 柏力克-舒爾斯模式 主要不可觀察輸入數據為: 匯率波動(附註 a ) Unquoted equity investments 無報價股權投資 Equity instruments at FVTOCI: RMB96,445,000 按公允值計入其他 全面收益的權益工具: 人民幣 96,445,000 元 Equity investments at FVTPL: RMB94,159,000 按公允值計入損益的 股權投資: 人民幣 94,159,000 元 Equity instruments at FVTOCI: RMB57,597,000 按公允值計入其他 全面收益的權益工具: 人民幣 57,597,000 元 Equity investments at FVTPL: RMB133,352,000 按公允值計入損益的 股權投資: 人民幣 133,352,000 元 Level 3 第三級 Market approach Key unobservable inputs: (1) Revenue growth rate; (2) P/S multiples of selected comparable companies (Note b) 市場法 主要不可觀察輸入數據為: (1) 收入增長率; (2) 選定可資比較公司的市銷率倍數 (附註 b ) Unquoted equity investments Equity instruments at FVTOCI: RMB77,012,000 Equity instruments at FVTOCI: RMB77,012,000 Level 3 Income approach Key unobservable inputs: (1) Long-term revenue growth rates, taking into account of management’s experience and knowledge of market conditions of the specific industry; (2) Weighted average cost of capital (Note c) 無報價股權投資 按公允值計入其他全面 收益的股權投資: 人民幣 77,012,000 元 按公允值計入其他全面 收益的股權投資: 人民幣 77,012,000 元 第三級 收入法 主要不可觀察輸入數據為: (1) 長期收益增長率,經考慮管理層的經驗 及對某行業市場的知識; (2) 加權平均資本成本(附註 c ) 32. FAIR VALUE MEASUREMENT (Continued) Fair value of the Group’s financial assets and financial liabilities that are measured at fair value on a recurring basis (Continued)

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