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Financial Assets
9 Months Ended
Sep. 30, 2020
Fair Value Disclosures [Abstract]  
FINANCIAL ASSETS

NOTE 7 – FINANCIAL ASSETS


   Fair value 
  

As of
September 30,

2020

  

As of
December 31,

2019

 
   Assets   Liabilities   Assets   Liabilities 
                     
Held-for-trading investments  $996,414    -   $2,730,363    - 

The investments above include investments in quoted fixed income securities that offer the Company the opportunity for return through interest income and fair value gains. They have various fixed maturity and coupon rate. The fair values of these securities are based on closing quoted market prices on the last market day of the financial year.


Fair value of the Company’s financial assets and financial liabilities are measured at fair value on recurring quoted bid prices on an active market basis. All the available for sale financial assets are classified as Level 1 as described in the Company’s accounting policies.


During the quarter ended June 30, 2020, certain investments were disposed and the proceeds utilized to repay the Company’s loan in note 12 below