Annual Report 2015
Home
Business & Strategy
Operations Review
Chairman’s Statement
Group Chief Executive Officer’s Review
Group Chief Financial Officer’s Review
Strategic Report
Corporate Responsibility
Corporate Governance
Board of Directors
Director’s Report
Director’s Statement of Corporate Governance
Report of the Remuneration Committee on Director’s Remuneration
Statement of Director’s Responsibilities
Financial Statements
Independent Auditor’s Report
Group Income Statement
Group Statement of Comprehensive Income
Group Balance Sheet
Group Cash Flow Statement
Group Statement of Changes in Equity
Company Balance Sheet
Company Cash Flow Statement
Company Statement of Changes In Equity
Statement of Accounting Policies
Notes Forming Part of the Financial Statements
Financial Definitions
Shareholder Information
Download PDF version
In this section
Independent Auditor’s Report
Group Income Statement
Group Statement of Comprehensive Income
Group Balance Sheet
Group Cash Flow Statement
Group Statement of Changes in Equity
Company Balance Sheet
Company Cash Flow Statement
Company Statement of Changes In Equity
Statement of Accounting Policies
Notes Forming Part of the Financial Statements
Financial Definitions
Company Balance Sheet
As at 28 February 2015
Notes
2015
2014
€m
€m
Assets
Non-current assets
Financial assets
13
978.1
977.9
Trade & other receivables
15
241.0
50.5
1,219.1
1,028.4
Current assets
Trade & other receivables
15
0.1
-
Cash & cash equivalents
-
0.2
0.1
0.2
Total Assets
1,219.2
1,028.6
Equity
Equity share capital
23
3.5
3.5
Share premium
23
824.4
817.7
Other reserves
23
6.0
6.7
Retained income
221.9
70.6
Total equity
1,055.8
898.5
Liabilities
Current liabilities
Trade & other payables
16
163.4
130.1
Total liabilities
163.4
130.1
Total Equity & Liabilities
1,219.2
1,028.6
On behalf of the Board
Sir Brian Stewart
Chairman
Stephen Glancey
Group Chief Executive Officer