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Journeys : Oct Nov 2010
RACT Annual Report 09–10 14 Statement of Changes in Equity For the financial year ended 30 June 2010 CONSOLIDATED Cash flow hedge reserve Asset revaluation reserve Retained earnings Total attributable to equity holders of the entity $ $ $ $ Balance at 1 July 2008 - 914,595 27,726,292 28,640,887 Profit for the period - - 1,579,552 1,579,552 Other comprehensive income - 914,164 (217,991) 696,173 Balance at 30 June 2009 - 1,828,759 29,087,853 30,916,612 Profit for the period - - 2,844,392 2,844,392 Other comprehensive income (239,020) - 377 (238,643) Balance at 30 June 2010 (239,020) 1,828,759 31,932,622 33,522,361 Notes to the Financial Statements are included on page 16.
Aug Sep 2010