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Journeys : Oct Nov 2011
Statement of Changes in Equity For the financial year ended 30 June 2011 CONSOLIDATED Cash flow hedge reserve Asset revaluation reserve Retained earnings Total attributable to equity holders of the entity $ $ $ $ Balance at 1 July 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 Profit for the period - - 3,893,764 3,893,764 Other comprehensive income 34,869 935,612 23,586 994,067 Balance at 30 June 2011 (204,151) 2,764,371 35,849,972 38,410,192 Notes to the Financial Statements are included on page 16. 70 October / November 2011
MNJ Aug Sep 2011