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2010 REGISTRATION DOCUMENT (3.4 Mo) - Groupe Casino

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CONSOLIDATED FINANCIAL STATEMENTSNotes to the consolidated fi nancial statements3Exposure to liquidity riskThe table below shows a maturity schedule for financial liabilities at 31 December <strong>2010</strong>, including principal and interest but excludingdiscounting.Maturity <strong>2010</strong>€ millionsDue withinone yearDue in oneto two yearsDue in twoto threeyearsDue in threeto five yearsDue beyondfive yearsTotalCarryingamountNON-DERIVATIVE FINANCIAL INSTRUMENTS RECOGNISED IN LIABILITIES:Bonds and other borrowings 1,712 900 1,525 2,141 1,548 7,827 6,959Put options granted to ownersof non-controlling interests 57 1 - - - 58 58Finance lease liabilities 50 30 19 14 24 137 106Trade payablesand other financial liabilities 6,663 70 236 3 29 7,001 7,001DERIVATIVE FINANCIAL INSTRUMENTS ASSETS/(LIABILITIES):Interest rate derivatives8,483 1,001 1,780 2,159 1,601 15,024Derivative contracts - received 357 146 111 141 84 839Derivative contracts - paid (370) (66) (43) (40) (18) (537)Derivative contracts - settled net 24 - - - - 24Currency derivativesDerivative contracts - received 853 - 1 - - 854Derivative contracts - paid (981) (11) - - - (992)Derivative contracts - settled net 20 - - - - 20Other derivative instrumentsDerivative contracts - received - - - - - -Derivative contracts - paid - - - - - -Derivative contracts - settled net - - - - - -(97) 69 68 101 66 208 83Registration Document <strong>2010</strong> | <strong>Casino</strong> Group115

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