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Consolidated Statement of Comprehensive Income - EUR (€)
€ in Millions
12 Months Ended
Mar. 31, 2025
Mar. 31, 2024
Mar. 31, 2023
Consolidated Statement of Comprehensive Income      
Profit for the year € 1,611.6 € 1,917.1 € 1,313.8
Items that will not be reclassified subsequently to profit or loss:      
Net actuarial gain   6.6  
Movements in hedging reserve, net of tax:      
Effective portion of changes in fair value of cash-flow hedges (156.5) 466.2 621.6
Net change in fair value of cash-flow hedges transferred to property, plant and equipment (97.2) (293.9) (291.7)
Net other changes in fair value of cash-flow hedges transferred to profit or loss (33.5) 62.2 (1,593.9)
Net movements in cash-flow hedge reserve (287.2) 234.5 (1,264.0)
Total other comprehensive (loss)/income for the year, net of income tax (287.2) 241.1 (1,264.0)
Total comprehensive income for the year - all attributable to equity holders of parent € 1,324.4 € 2,158.2 € 49.8