BWP TRUST ANNUAL REPORT 2015 - page 34

BWP TRUST ANNUAL REPORT 2015
32
Note
June 2015
$000
June 2014
$000
Revenue
1
144,877
127,426
Expenses
Finance costs
2
(25,816)
(20,901)
Responsible entity’s fees
2
(11,071)
(8,567)
Other operating expenses
2
(6,419)
(5,990)
Total expenses
(43,306)
(35,458)
Profit before gains on investment properties
101,571
91,968
Realised gains on disposal of investment properties
6
371
-
Unrealised gains in fair value of investment properties
6
108,137
57,113
Profit attributable to the unitholders of BWP Trust
210,079
149,081
Other comprehensive income
Items that may be reclassified subsequently to profit or loss:
Effective portion of changes in fair value of cash flow hedges:
-
-
Realised losses transferred to profit or loss
5,290
5,421
-
-
Unrealised losses on cash flow hedges
(4,186)
(4,952)
Total comprehensive income for the year
attributable to the unitholders of BWP Trust
211,183
149,550
Basic and diluted earnings (cents per unit) resulting from profit
12
32.84
24.34
The statement of profit or loss and other comprehensive income should be read in conjunction with the accompanying notes.
STATEMENT OF PROFIT OR LOSS
AND OTHER COMPREHENSIVE INCOME
For the year ended 30 June 2015
FINANCIAL REPORT
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