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Statement of Comprehensive Income

FOR THE YEAR ENDED 30 JUNE 2015

30 Jun 15

30 Jun 14

Note

$’000

$’000

Revenue

Property revenue

3a

55,486

53,342

Expenses

Property expenses and outgoings

(14,246)

(14,475)

Net property income

41,240

38,867

Other expenses

Manager’s service charge

(4,590)

(4,272)

Other costs

(310)

(395)

(4,900)

(4,667)

Interest income

91

122

Net fair value gain on interest rate derivatives

1,408

2,265

Financing costs

3b

(13,164)

(13,851)

Property revaluation

30,970

49,104

Net profit attributable to members of the Trust

13(ii)

55,645

71,840

Total comprehensive income attributable to members of the Trust

55,645

71,840

cents

cents

Basic earnings per unit

6

79.49

102.63

Diluted earnings per unit

6

79.49

102.63

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