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Note to cash flow statement - Changes in carrying amount of Share premium (Details) - EUR (€)
€ in Millions
12 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Mar. 31, 2023
Balance at beginning of year € 1,404.3 € 1,379.9  
Changes from financing cash flows      
Movement in net funds resulting from cash flows 46.7 (587.8) € (2,134.9)
Balance at end of year 1,421.6 1,404.3 1,379.9
Repurchase of ordinary equity shares 1,481.7    
Share Premium Account      
Balance at beginning of year 1,404.3 1,379.9 1,328.2
Changes from financing cash flows      
Net proceeds from shares issued 4.9 16.4 31.7
Share premium receivable on shares issued 12.4 8.0 20.0
Movement in net funds resulting from cash flows 17.3 24.4 51.7
Balance at end of year 1,421.6 € 1,404.3 € 1,379.9
Retained Earnings      
Changes from financing cash flows      
Repurchase of ordinary equity shares € 1,481.7