Note |
NARL €'000 |
NAMA Group (excluding NARL) €'000 |
Year ended 31 December 2013 NAMA Group €'000 |
Year ended 31 December 2012 NAMA Group €'000 |
|
---|---|---|---|---|---|
Profit for the year | (6,151) | 217,591 | 211,440 | 228,496 | |
Items that are or may be reclassified subsequently to profit or loss: | |||||
Movement in cash flow hedge reserve before tax | 36 |
- |
256,012 |
256,012 |
(439,821) |
Movement in available for sale reserve before tax | 36 |
- |
(4,127) |
(4,127) |
2,297 |
Income tax relating to components of other comprehensive income | 14, 28 |
- |
(65,134) |
(65,134) |
107,451 |
Other comprehensive income/(loss) for the year net of tax | - |
186,751 |
186,751 |
(330,073) |
|
Total comprehensive income/(loss) for the year | (6,151) |
404,342 |
398,191 |
(101,577) |
|
Total comprehensive income/(loss) attributable to: | |||||
Owners of the Group | (6,151) | 404,342 | 398,191 | (101,577) |
The accompanying notes form an integral part of these consolidated financial statements.
On behalf of the Board
9 May 2014
Brendan McDonagh
Chief Executive Officer
Frank Daly
Chairman