(XLS:) Download Excel |
|
|
Year to 31 March | |
|
Notes |
2011 |
2010 |
Profit for the year |
|
167 |
19 |
Actuarial gains/(losses) in post-employment benefit plans |
|
58 |
(104) |
Net fair value gains on cash flow hedges |
9 |
13 | |
Cash flow hedges reclassified and reported in the income statement during the year |
|
9 |
11 |
Valuation gain/(losses) on available-for-sale financial assets |
|
1 |
(10) |
Net exchange differences |
(37) |
(10) | |
Items recycled to the income statement on disposal |
|
(23) |
– |
Deferred tax relating to the above components |
– |
25 | |
Other comprehensive income/(expense) for the year, net of tax |
|
17 |
(75) |
Total comprehensive income/(expense) for the year |
|
184 |
(56) |
|
|
|
|
Attributable to: |
|
|
|
– equity holders of the Company |
|
181 |
(59) |
– non-controlling interests |
|
3 |
3 |
|
|
184 |
(56) |
The notes form part of these Group financial statements.