Audited information

in CHF m

 

31.12.2015

 

31.12.2014

Trade payables

 

670

 

704

Payables to associates and joint ventures

 

48

 

56

Accruals

 

253

 

236

Other payables

 

122

 

159

Total trade and other payables

 

1 093

 

1 155

Reclassified to held for sale

 

 

–8

Total as reported in the balance sheet

 

1 093

 

1 147

The amount recognized for trade payables is equal to their fair value.

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