Consolidated Statement of Changes in Equity for year ended 31 March 2012


Share
Capital
£000
Share
Premium
£000
Translation
Reserve
£000
Retained
Earnings
£000
Total
Equity
£000
Balance at 1 April 2011 4,262 12,167 9,831 16,585 42,845
Total comprehensive income for the year:




Profit for the year 3,162 3,162
Other comprehensive income:




Foreign currency translation differences (27) (27)
Total other comprehensive income (27) (27)
Total comprehensive income recognised for the year (27) 3,162 3,135






Transactions with owners, recorded directly in equity




Issue of share capital 1,081 6,096 7,177
Share-based payment transactions 331 331
Total transactions with owners 1,081 6,096 331 7,508
Balance at 31 March 2012 5,343 18,263 9,804 20,078 53,488

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