Our Company

Five Year Summary

Five Year Summary

 2011 2010 2009 2008 2007 
  £m £m£m £m £m 
Group Revenue  80.1 79.176.3 81.6 89.5 
Costs (30.6) (30.3)(30.3)(37.4)(49.9)
  49.5 48.846.044.239.6
Net movements on revaluation of investment properties  18.0 30.1(6.7) (103.3)(68.1)
Profit/(loss) on disposal of subsidiaries/joint venture/associates 2.2 --(16.2)(1.9)
Profit/(loss) on sale of investment properties - -0.37.0-
Profit on sale of corporate bonds 0.5 9.31.9--
Impairment of intangible fixed assets and goodwill - --(22.0)-
Operating profit/(loss) 70.2 88.241.5(90.3)(30.4)
Net finance costs (35.5) (25.0)(25.5)(43.0) (42.7)
Share of profit/(loss) at associates after tax 3.0 7.72.5(7.5)0.5
Other non-recurring costs - --(1.3)-
Profit/(loss) before tax 37.7 70.918.5(142.1)(72.6)
Taxation 1.1 (10.8)(1.1)64.139.7
Profit/(loss) from continuing operations 38.8 60.117.4(78.0)(32.9)
Loss from discontinued operations - ----
Profit/(loss) for the year 38.8 60.117.4(78.0)(32.9)
Share buy-backs paid and proposed 12.3 11.16.059.09.3
      
Net Assets Employed
Non-current assets 1,037.0 1,018.6944.2869.11,251.5
Current assets 67.3 59.880.7205.9132.4
  1,104.3 1,078.41,024.91,075.01,383.9
Non-current liabilities   (553.9) (598.1)(551.6)  (602.5)  (813.1)  
Current liabilities (182.9) (123.1)(164.3)(133.9)(167.7)
Net assets 367.5 357.2309.0338.6403.1