Consolidated statement of comprehensive income

for the six months ended 30 April 2011

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  Six months
ended
30 April
2011
(unaudited)
£'000
Six months
ended
30 April
2010
(unaudited)
£'000
Year ended
31 October
2010
(audited)
£'000
Profit for the period
4,466 4,795 26,340
Other comprehensive income:
Cash flow hedges
1,172 1,172
Currency translation differences
2,543 (3,084) (2,767)
Recycled cumulative exchange gain
(431) (431)
Recycled cumulative cash flow hedges
8,749 8,749
Tax credit in respect of items taken directly to equity
(2,794) (2,846)
Total other comprehensive income, net of tax
2,543 3,612 3,877
Total comprehensive income for the period
7,009 8,407 30,217
 
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