Annual Report 2016

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Company statement of Changes in Equity

for the year ended 30 March 2016

Share CapitalShare premiumCash flowhedge reservesRetained earningsTotal
€’000€’000€’000€’000€’000
At 27 March 201482,8041,959(736)25,235109,262
Total Comprehensive income
Loss for the year---(9,682)(9,682)
Other comprehensive income
Remeasurements of defined benefit liability---(21,696)(21,696)
Cash flow hedge - effective portion changes in fair value--51,274-51,274
Cash flow hedge - reclassified to profit or loss (cash payments)--(2,471)-(2,471)
Cash flow hedge - reclassified to profit or loss (foreign exchange)--(44,923)-(44,923)
Transactions with owners of the company
Dividends---(11,172)(11,172)
At 25 March 201582,8041,9593,144(17,315)70,592
Total Comprehensive income
Loss for the year---(3,812)(3,812)
Other comprehensive income
Remeasurements of defined benefit liability---9,7789,778
Cash flow hedge - effective portion changes in fair value--(5,637)-(5,637)
Cash flow hedge - reclassified to profit or loss (cash payments)--(4,104)-(4,104)
Cash flow hedge - reclassified to profit or loss (foreign exchange)--6,830-6,830
Transactions with owners of the company
Dividends---(10,141)(10,141)
At 30 March 201682,8041,959233(21,490)63,506

The accompanying notes are an integrated part of these financial statements.