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Interim consolidated statement of changes in equity - GBP (£)
£ in Thousands
Share capital
Share premium
Treasury shares
Merger reserve
Hedging reserve
Retained earnings
Total
Balance at beginning of the period at Jun. 30, 2019 £ 53 £ 68,822   £ 249,030 £ (35,544) £ 132,841 £ 415,202
Comprehensive income (loss)              
Profit/(loss) for the period           36,135 36,135
Cash flow hedges         9,904   9,904
Tax credit/(expense) relating to movements on hedges         (607)   (607)
Total comprehensive income/(loss) for the period         9,297 36,135 45,432
Acquisition of treasury shares     £ 0        
Equity-settled share-based payments           365 365
Dividends paid             0
Balance at end of the period at Dec. 31, 2019 53 68,822   249,030 (26,247) 169,341 460,999
Comprehensive income (loss)              
Profit/(loss) for the period           (59,368) (59,368)
Cash flow hedges         (7,027)   (7,027)
Tax credit/(expense) relating to movements on hedges         709   709
Total comprehensive income/(loss) for the period         (6,318) (59,368) (65,686)
Acquisition of treasury shares     (21,305)       (21,305)
Equity-settled share-based payments           (453) (453)
Dividends paid           (23,229) (23,229)
Balance at end of the period at Jun. 30, 2020 53 68,822 (21,305) 249,030 (32,565) 87,197 351,232
Comprehensive income (loss)              
Profit/(loss) for the period           33,558 33,558
Cash flow hedges         19,246   19,246
Tax credit/(expense) relating to movements on hedges         (210)   (210)
Total comprehensive income/(loss) for the period         19,036 33,558 52,594
Acquisition of treasury shares     0        
Equity-settled share-based payments           1,753 1,753
Dividends paid             0
Balance at end of the period at Dec. 31, 2020 £ 53 £ 68,822 £ (21,305) £ 249,030 £ (13,529) £ 122,508 £ 405,579