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Comprehensive Income Statement
(in Euro) | 2018 | 2017 |
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 |