Cyprus Energy Regulatory Authority Annual Report 2021

145 Annual Report 2021 2021 2020 € € Balance at 1 January 3.280.080 - Additions - 2.990.387 Revaluation difference transferred to equity (98.130) 289.693 Balance at 31 December 3.181.950 3.280.080 20. Financial assets at fair value through other comprehensive income Cost Fair values 2021 2020 2021 2020 € € € € Bonds 2.990.387 2.990.387 3.181.950 3.280.080 2.990.387 2.990.387 3.181.950 3.280.080 The details of the investments are as follows: Name 2021 2020 € € Government Bonds of the Republic of Cyprus 3.181.950 3.280.080 3.181.950 3.280.080 2021 2020 € € Trade receivables 19.507 12.342 Less: credit loss on trade receivables (166) (1.071) Trade receivables - net 19.341 11.271 Deposits and prepayments 58.759 63.898 Accrued income 33.630 31.500 111.730 106.669 21. Trade and other receivables The Authority does not hold any collateral over the trading balances.

RkJQdWJsaXNoZXIy MzU4MTg0