v3.25.1
Trade and other receivables (Tables)
12 Months Ended
Mar. 31, 2025
Trade and other receivables  
Schedule of trade and other receivables
     
2025 
€m 
 
2024 
m 
Included within
non-current
assets
    
Trade receivables
     6        8   
Trade receivables held at fair value through other comprehensive income
     289       294  
Net investment in leases
     372       211  
Contract assets
     496       450  
Contract-related costs
     822       676  
Other receivables
     82       78  
Prepayments
     300       239  
Derivative financial instruments
      4,064       4,011  
 
  
 
6,431
 
 
 
 5,967
 
     
2025 
€m 
 
2024 
m 
Included within current assets
    
Trade receivables
     3,236        2,841   
Trade receivables held at fair value through other comprehensive income
     421       441  
Net investment in leases
     88       99  
Contract assets
     2,473       2,413  
Contract-related costs
     1,253       1,169  
Amounts owed by associates and joint ventures
     166       130  
Other receivables
     928       686  
Prepayments
     706       600  
Derivative financial instruments
1
     133       215  
 
  
 
 9,404
 
 
 
 8,594
 
Note:
 
1.
Includes
nil (2024:
22 million) of embedded derivative option for which fair value is based on level 3 of the fair value hierarchy (see section on fair value carrying value information within note 22 ‘Capital and financial risk management’). All other items are measured at fair value and the valuation basis is level 2 classification, which comprises items where fair value is determined from inputs other than quoted prices that are observable for the asset or liability, either directly or indirectly.