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Interim consolidated statement of changes in equity - unaudited - 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, 2022 £ 53 £ 68,822 £ (21,305) £ 249,030 £ 950 £ (170,042) £ 127,508
Loss for the period           (20,210) (20,210)
Cash flow hedges         1,718   1,718
Tax (expense)/credit relating to movements on hedges         (419)   (419)
Total comprehensive income/(loss) for the period         1,299 (20,210) (18,911)
Equity-settled share-based payments           1,155 1,155
Balance at end of the period at Dec. 31, 2022 53 68,822 (21,305) 249,030 2,249 (189,097) 109,752
Loss for the period           (8,468) (8,468)
Cash flow hedges         2,352   2,352
Tax (expense)/credit relating to movements on hedges         (599)   (599)
Total comprehensive income/(loss) for the period         1,753 (8,468) (6,715)
Equity-settled share-based payments           598 598
Deferred tax credit relating to share-based payments           315 315
Balance at end of the period at Jun. 30, 2023 53 68,822 (21,305) 249,030 4,002 (196,652) 103,950
Loss for the period           (5,383) (5,383)
Cash flow hedges         (5,369)   (5,369)
Tax (expense)/credit relating to movements on hedges         1,342   1,342
Total comprehensive income/(loss) for the period         (4,027) (5,383) (9,410)
Equity-settled share-based payments           1,477 1,477
Balance at end of the period at Dec. 31, 2023 £ 53 £ 68,822 £ (21,305) £ 249,030 £ (25) £ (200,558) £ 96,017