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Comprehensive Income Statement

(in Euro)20182017
Net Profit 123,489,400 76,945,175
Other comprehensive income statement items  
Items reclassifiable in future periods to the net result:  
Profit/(Loss) on fair value measurement of derivative financial instruments cash flow hedge 1,760,708 2,434,925
Tax effect relating to profit/(loss) on fair value measurement of derivative financial instruments cash flow hedge (422,397) (584,382)
Total items reclassifiable, net of tax effect 1,338,311 1,850,543
Items not reclassifiable in future periods to the net result:  
Actuarial gains/(losses) on post-employment benefits 1,099,090 55,998
Tax effect on actuarial gains/(losses) on post-employment benefits (263,782) (13,439)
Total items not reclassifiable, net of tax effect 835,308 42,559
Total other comprehensive income items 2,173,619 1,893,102
Total comprehensive profit 125,663,019 78,838,277