根据第13或15(d)条的季度报告

衍生工具和对冲活动(细节)

v2.4.0.6
衍生工具和对冲活动(细节)(USD $)
除非另有说明,否则成千上万
3个月结束 9个月结束
Mar. 31, 2012
Mar. 31, 2011
Mar. 31, 2012
Mar. 31, 2011
Jun. 30, 2011
金融衍生工具
Derivative maximum maturity, in months 18 18
Location in Financial Statements [Abstract]
Gains in accumulated OCI on derivative (effective portion) $ 2,269 $ 1,318 $ 852 $ 78
Gains (losses) reclassified from accumulated OCI into income (effective portion) (98) (710) (1,023) (1,867)
未表彰的对冲合同
现金流对冲合同,购买 12,102 12,102 3,381
现金流对冲合同,出售 48,478 48,478 30,133
其他外币对冲合同,购买 74,492 74,492 174,499
其他外币对冲合同,出售 88,707 88,707 216,738
其他流动资产
通过资产负债表分类[摘要],以公允价值为单位的导数资产(负债)
Asset derivatives fair value 4,149 4,149 1,970
其他流动负债
通过资产负债表分类[摘要],以公允价值为单位的导数资产(负债)
责任衍生工具公允价值 585 585 2,127
指定为对冲乐器的衍生物
金融衍生工具
Hedge contracts maximum maturity, in months 13 13
Location in Financial Statements [Abstract]
Gains (losses) reclassified from accumulated OCI into income (effective portion) (98) (710) (1,023) (1,867)
指定为对冲工具的衍生物|其他流动资产
通过资产负债表分类[摘要],以公允价值为单位的导数资产(负债)
Foreign exchange contracts, other current assets 2,097 2,097 145
Asset derivatives fair value 2,097 2,097 145
指定为对冲工具的衍生物|其他流动负债
通过资产负债表分类[摘要],以公允价值为单位的导数资产(负债)
外汇合同,其他流动负债 74 74 475
责任衍生工具公允价值 74 74 475
Derivatives Not Designated as Hedging Instruments | Other Current Assets
通过资产负债表分类[摘要],以公允价值为单位的导数资产(负债)
Foreign exchange contracts, other current assets 2,052 2,052 1,825
Asset derivatives fair value 2,052 2,052 1,825
Derivatives Not Designated as Hedging Instruments | Other Current Liabilities
通过资产负债表分类[摘要],以公允价值为单位的导数资产(负债)
外汇合同,其他流动负债 511 511 1,652
责任衍生工具公允价值 511 511 1,652
Revenues | Derivatives Designated as Hedging Instruments
Location in Financial Statements [Abstract]
Gains (losses) reclassified from accumulated OCI into income (effective portion) 122 (696) (851) (2,023)
收入的成本|指定为对冲乐器的衍生物
Location in Financial Statements [Abstract]
Gains (losses) reclassified from accumulated OCI into income (effective portion) (220) (14) (172) 156
利息收入和其他净收入|指定为对冲乐器的衍生物
Location in Financial Statements [Abstract]
在衍生品收入中认可的收益(无效的部分和有效性测试中排除的金额) 77 76 175 223
利息收入和其他净收入|Derivatives Not Designated as Hedging Instruments
Location in Financial Statements [Abstract]
Gains (losses) recognized in income 5,605 2,164 (6,205) 295
累积的OCI |指定为对冲乐器的衍生物
Location in Financial Statements [Abstract]
Gains in accumulated OCI on derivative (effective portion) $ 2,269 $ 1,318 $ 852 $ 78
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