|NOTE||31/12/2014|| 31/12/2013 (restated|
|Cash flow hedge instruments||302||122|
|currency interest rate swaps||-||16|
|interest rate swaps||-||12|
|Receivables due to sale of non-current non-financial assets||32.5.2||-||8|
|Advances for construction in progress||-||6|
As at 31 December 2014 and as at 31 December 2013, the impairment allowances of other long-term assets amounted to PLN 7 million.