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Consolidated Statement of Changes in Shareholders' Equity - EUR (€)
€ in Millions, shares in Millions
Issued Share Capital
Share Premium Account
Retained Earnings
Other Undominated Capital
Other Reserves - Hedging
Other reserves
Total
Beginning Balance at Mar. 31, 2020 € 6.5 € 738.5 € 4,245.0 € 3.5 € (111.3) € 32.3 € 4,914.5
Beginning Balance, Shares at Mar. 31, 2020 1,089.2            
Profit/(loss) for the year     (1,015.1)       (1,015.1)
Other comprehensive (loss)/income              
Net movements in cash-flow reserve         322.6   322.6
Total other comprehensive (loss)/income for the year, net of income tax         322.6   322.6
Total comprehensive income/(loss) for the year - all attributable to equity holders of parent     (1,015.1)   322.6   (692.5)
Issue of ordinary equity shares € 0.2 423.1 (2.3)       421.0
Issue of ordinary equity shares (in shares) 38.9            
Share-based payments           3.6 3.6
Dividend paid             0.0
Transfer of exercised and expired share based awards     4.7     (4.7)  
Ending Balance at Mar. 31, 2021 € 6.7 1,161.6 3,232.3 3.5 211.3 31.2 4,646.6
Ending Balance, Shares at Mar. 31, 2021 1,128.1            
Profit/(loss) for the year     (240.8)       (240.8)
Other comprehensive (loss)/income              
Net movements in cash-flow reserve         1,084.1   1,084.1
Total other comprehensive (loss)/income for the year, net of income tax         1,084.1   1,084.1
Total comprehensive income/(loss) for the year - all attributable to equity holders of parent     (240.8)   1,084.1   843.3
Issue of ordinary equity shares € 0.1 112.2 (65.5)       46.8
Issue of ordinary equity shares (in shares) 6.5            
Share-based payments           8.6 8.6
Dividend paid             0.0
Additional share premium on the allotment of shares   54.4 (54.4)        
Transfer of exercised and expired share based awards     9.3     (9.3)  
Ending Balance at Mar. 31, 2022 € 6.8 1,328.2 2,880.9 3.5 1,295.4 30.5 5,545.3
Ending Balance, Shares at Mar. 31, 2022 1,134.6            
Profit/(loss) for the year     1,313.8       1,313.8
Other comprehensive (loss)/income              
Net movements in cash-flow reserve         (1,264.0)   (1,264.0)
Total other comprehensive (loss)/income for the year, net of income tax         (1,264.0)   (1,264.0)
Total comprehensive income/(loss) for the year - all attributable to equity holders of parent     1,313.8   (1,264.0)   49.8
Issue of ordinary equity shares € 0.1 51.7 (20.1)       31.7
Issue of ordinary equity shares (in shares) 4.1            
Share-based payments           16.2 16.2
Dividend paid             0.0
Transfer of exercised and expired share based awards     5.4     (5.4)  
Ending Balance at Mar. 31, 2023 € 6.9 € 1,379.9 € 4,180.0 € 3.5 € 31.4 € 41.3 € 5,643.0
Ending Balance, Shares at Mar. 31, 2023 1,138.7