Interim report
for the six months ended 30 April 2011
| 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 |