Group Statement of Changes in Equity

at 31 December 2020

Retained

earnings

Cash flow

hedge reserve

Total

equity

€’000

€’000

€’000

(Note 19)

Balance at 1 January 2020

155,308

-

155,308

Surplus for the year

7,938

-

7,938

Other comprehensive surplus

34,898

-

34,898

Total comprehensive surplus

42,836

-

42,836

Balance at 31 December 2020

198,144

-

198,144

Balance at 1 January 2019

95,621

(91)

95,530

Deficit for the year

(7,201)

-

(7,201)

Other comprehensive surplus

66,888

91

66,979

Total comprehensive surplus

59,687

91

59,778

Balance at 31 December 2019

155,308

-

155,308