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48
FOR THE YEAR ENDED 30 JUNE 2011
Consolidated Statement of Changes
in Equity
Contributed
Retained
Equity
Reserves
Earnings
Total
Consolidated
$’000
$’000
$’000
$’000
Balance at 1 July 2009
35,262
(2,963) 86,780
119,079
Proft for the year
– 58,922 58,922
Other comprehensive income
(145)
(145)
Total comprehensive income for the year
(145) 58,922 58,777
Transactions with owners in their capacity as owners
Share based payments
2,400
2,400
Contributions of equity, net of transaction costs
39,722
39,722
Dividends provided for or paid
(14,350)
(14,350)
Balance at 30 June 2010
74,984
(708)
131,352 205,628
Balance at 1 July 2010
74,984
(708)
131,352 205,628
Proft for the year
51,760
51,760
Other comprehensive income
(1,333)
(1,333)
Total comprehensive income for the year
(1,333) 51,760 50,427
Transactions with owners in their capacity as owners
Share based payments
3,300
3,300
Transfer from share based payments on issue
of shares under Long Term Incentive Plan
1,661
(1,661)
Dividends provided for or paid
(26,179)
(26,179)
Balance at 30 June 2011
76,645
(402) 156,933 233,176
The above consolidated statement of changes in equity should be read in conjunction with the accompanying notes.