INTERNATIONAL FEDERATION OF RED CROSS AND RED CRESCENT SOCIETIES, GENEVA NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 DECEMBER 2022 Page 39
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4. MANAGEMENT OF FUNDS 4.1 Net finance (expense) / income Restricted Unrestricted Total 2022 CHF 000s CHF 000s CHF 000s Interest income on bank deposits
-
9
9
Dividend income on global equity fund
-
1,078
1,078
Interest income on global bond fund
-
1,461
1,461
Net foreign exchange losses on revaluations of assets &
liabilities
( 203)
386
183
Gains on disposal: global equity fund and global bond fund
-
21
21
Finance income
( 203)
2,955
2,752
Losses on disposal: global equity fund and global bond fund
-
( 32)
( 32)
Net change in fair value of financial assets at fair value
through profit or loss
-
( 22,558)
( 22,558)
Net realised losses from cash flow hedge
-
( 37)
( 37)
Finance expense
-
( 22,627)
( 22,627)
Net finance expense ( 203)
( 19,672)
( 19,875)
2021 Interest income on bank deposits
-
7
7
Dividend income on global equity fund
-
695
695
Interest income on global bond fund
-
1,750
1,750
Gains on disposal: global equity fund and global bond fund
-
255
255
Net change in fair value of financial assets at fair value
through profit or loss
-
8,314
8,314
Finance income
-
11,021
11,021
Net foreign exchange losses on revaluations of assets &
liabilities
( 618)
135
( 483)
Losses on disposal: global equity fund and global bond fund
-
( 152)
( 152)
Net change in fair value of financial assets at fair value
through profit or loss
-
( 5,127)
( 5,127)
Net realised losses from cash flow hedge
-
151
151
Finance expense
( 618)
( 4,993)
( 5,611)