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STATEMENT OF CHANGES IN EQUITY

FOR THE YEAR ENDED 30 JUNE 2016

Issued

capital

$000

Hedge

reserve

$000

Undistributed

income

$000

Total

$000

Balance at 1 July 2014

924,786

(12,047)

398,616 1,311,355

Profit attributable to unitholders of BWP Trust

-

-

210,079

210,079

Other comprehensive income:

Effective portion of changes in fair value of cash flow hedges

-

1,104

-

1,104

Total comprehensive income for the year

-

1,104

210,079

211,183

Distributions to unitholders

-

-

(101,550)

(101,550)

Issue of units - Distribution reinvestment plan

20,772

-

-

20,772

Total transactions with unitholders of BWP Trust

20,772

-

(101,550)

(80,778)

Balance at 30 June 2015 and 1 July 2015

945,558

(10,943)

507,145 1,441,760

Profit attributable to unitholders of BWP Trust

-

-

310,504

310,504

Other comprehensive income:

Effective portion of changes in fair value of cash flow hedges

-

965

-

965

Total comprehensive income for the year

-

965

310,504

311,469

Distributions to unitholders

-

-

(107,857)

(107,857)

Total transactions with unitholders of BWP Trust

-

-

(107,857)

(107,857)

Balance at 30 June 2016

945,558

(9,978)

709,792 1,645,372

The statement of changes in equity should be read in conjunction with the accompanying notes.

BWP Trust Annual Report 2016

31

Financial Report