Ryanair 2016 Annual Report Download - page 146

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146
Consolidated Statement of Comprehensive Income
Year ended
Year ended
Year ended
March 31,
March 31,
March 31,
2016
2015
2014
€M
€M
€M
Profit for the year
1,559.1
866.7
522.8
Other comprehensive income:
Items that will never be reclassified to profit or loss:
Net actuarial gain/(loss) from retirement benefit plans
0.4
(2.4)
(1.6)
0.4
(2.4)
(1.6)
Items that are or may be reclassified subsequently to profit or loss:
Cash-flow hedge reserve-effective portion of fair value changes to derivatives:
Effective portion of changes in fair value of cash-flow hedges
365.7
363.4
(108.0)
Net change in fair value of cash-flow hedges transferred to property, plant and equipment
(39.6)
(40.0)
(0.1)
Net change in fair value of cash-flow hedges transferred to profit or loss
(935.2)
68.3
24.4
Net movements in cash-flow hedge reserve
(609.1)
391.7
(83.7)
Available for sale financial asset:
Net increase in fair value of available-for-sale financial asset - reclassified to profit or loss
110.7
39.1
Disposal of available-for-sale financial asset
(291.4)
(900.5)
500.0
(44.6)
Total other comprehensive (loss)/income for the year, net of income tax
(900.1)
500.0
(46.2)
Total comprehensive income for the year all attributable to equity holders of parent
659.0
1,366.7
476.6
The accompanying notes are an integral part of the financial information.
On behalf of the Board
M. O’Leary
D. Bonderman
Director
Director
July 22, 2016