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Trade and other payables: amounts falling due after more than one year (Tables)
12 Months Ended
Dec. 31, 2019
Statement [LineItems]  
Summary of Contingent Consideration
 
 
  
 
2019
£m
 
 
2018
£m
 
At beginning of year
  
 
414.7
 
 
 
630.7
 
Earnouts paid
  
 
(130.0
 
 
(120.2
New acquisitions
  
 
9.6
 
 
 
48.6
 
Revision of estimates taken to goodwill (note 14)
  
 
(14.3
 
 
(68.3
Revaluation of payments due to vendors
  
 
1.1
 
 
 
(82.6
Transfer to disposal group classified as held for sale
  
 
(11.5
 
 
 
Exchange adjustments
  
 
(15.8
 
 
6.5
 
At end of year
  
 
253.8
 
 
 
414.7
 
Over 1 year [member]  
Statement [LineItems]  
Summary of Trade and Other Payables
The following are included in trade and other payables falling due after more than one year:
 
 
  
2019
£m
 
  
2018
£m
 
Payments due to vendors (earnout agreements)
  
 
111.4
 
  
 
266.5
 
Liabilities in respect of put option agreements with vendors
  
 
151.4
 
  
 
205.2
 
Fair value of derivatives
  
 
21.2
 
  
 
14.2
 
Other creditors and accruals
  
 
199.3
 
  
 
355.5
 
 
  
 
483.3
 
  
 
841.4
 
Trade and Other Payable [member]  
Statement [LineItems]  
Maturity Analysis for Non-derivative Financial Liabilities The following tables set out payments due to vendors, comprising contingent consideration and the Directors’ best estimates of future earnout-related obligations:
 
  
2019
£m
 
 
2018
£m
 
Within one year
  
 
142.4
 
 
 
148.2
 
Between one and two years
  
 
36.9
 
 
 
140.2
 
Between two and three years
  
 
37.5
 
 
 
38.5
 
Between three and four years
  
 
14.8
 
 
 
50.3
 
Between four and five years
  
 
9.7
 
 
 
20.4
 
Over five years
  
 
12.5
 
 
 
17.1
 
 
  
 
253.8
 
 
 
414.7
 
 
  
2019
£m
 
 
2018
£m
 
At beginning of year
  
 
414.7
 
 
 
630.7
 
Earnouts paid
  
 
(130.0
 
 
(120.2
New acquisitions
  
 
9.6
 
 
 
48.6
 
Revision of estimates taken to goodwill (note 14)
  
 
(14.3
 
 
(68.3
Revaluation of payments due to vendors
  
 
1.1
 
 
 
(82.6
Transfer to disposal group classified as held for sale
  
 
(11.5
 
 
 
Exchange adjustments
  
 
(15.8
 
 
6.5
 
At end of year
  
 
253.8
 
 
 
414.7