RBS 2013 Annual Report Download - page 448
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Notes on the consolidated accounts
446
18 Property, plant and equipment Long Short Computers Operating
Investment Freehold leasehold leasehold and othe
r
lease
properties premises premises premises equipment assets Total
2013 £m £m £m £m £m £m £m
Cost or valuation
A
t 1 January 3,111 2,998 289 1,732 4,606 3,325 16,061
Transfers to disposal groups (26) (30) — (12) (45) — (113)
Currency translation and other adjustments 34 (10) (2) (15) (42) (1) (36)
Reclassifications — 5 — 4 (9) — —
A
dditions 121 49 9 102 411 60 752
Expenditure on investment properties 13 — — — — — 13
Change in fair value of investment properties (281) — — — — — (281)
Disposals and write-off of fully depreciated assets (339) (34) (10) (79) (677) (1,485) (2,624)
A
t 31 Decembe
r
2,633 2,978 286 1,732 4,244 1,899 13,772
A
ccumulated impairment, depreciation and amo
r
tisation
A
t 1 January — 852 151 924 3,228 1,122 6,277
Transfers to disposal groups — (6) — (9) (35) — (50)
Currency translation and other adjustments — 4 5 (7) (35) (4) (37)
Write down of property, plant and equipment — 15 3 — — — 18
Disposals and write-off of fully depreciated assets — (12) (1) (65) (561) (559) (1,198)
Charge for the year — 110 11 137 384 211 853
A
t 31 Decembe
r
— 963 169 980 2,981 770 5,863
Net book value at 31 December 2,633 2,015 117 752 1,263 1,129 7,909
2012
Cost or valuation
A
t 1 January 4,468 2,855 273 1,823 4,479 3,892 17,790
Transfers (to)/from disposal groups (129) 101 11 95 (135) — (57)
Currency translation and other adjustments (51) 21 13 (124) (182) (53) (376)
Reclassifications 24 (47) 21 (6) 8 — —
A
dditions 372 153 8 121 519 402 1,575
Expenditure on investment properties 10 — — — — — 10
Change in fair value of investment properties
- continuing operations (153) — — — — — (153)
- discontinued operations (5) — — — — — (5)
Disposals and write-off of fully depreciated assets (1,425) (85) (37) (177) (83) (916) (2,723)
A
t 31 Decembe
r
3,111 2,998 289 1,732 4,606 3,325 16,061
A
ccumulated impairment, depreciation and amortisation
A
t 1 January — 736 114 850 3,035 1,187 5,922
Transfers from/(to) disposal groups — 43 6 66 (65) — 50
Currency translation and other adjustments — (9) 11 (114) (157) (21) (290)
Reclassifications — (7) 7 — — — —
Write down of property, plant and equipment — 9 7 1 — — 17
Disposals and write-off of fully depreciated assets — (15) (4) (16) (36) (462) (533)
Charge for the year
- continuing operations — 94 10 137 438 418 1,097
- discontinued operations — 1 — — 13 — 14
A
t 31 Decembe
r
— 852 151 924 3,228 1,122 6,277
Net book value at 31 December 3,111 2,146 138 808 1,378 2,203 9,784