Interim condensed consolidated statement of changes in equity
For the six months ended 30 June |
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in CHF 1,000 |
Equity attributable to owners of SoftwareONE Holding AG |
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Share capital |
Share premium |
Treasury shares |
Retained earnings |
Hedging reserve |
Currency translation adjustments |
Total |
Non- controlling interest |
Total equity |
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Balance as at 1 January 2021 |
1,586 |
273,868 |
–10,650 |
560,797 |
–41 |
–49,109 |
776,451 |
71 |
776,522 |
Profit for the period |
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38,560 |
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38,560 |
–224 |
38,336 |
Other comprehensive income for the period |
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7,039 |
1,824 |
14,597 |
23,460 |
–8 |
23,452 |
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Total comprehensive income for the period |
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45,599 |
1,824 |
14,597 |
62,020 |
–232 |
61,788 |
Transactions in treasury shares |
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502 |
–502 |
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– |
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– |
Dividends paid |
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–46,396 |
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–46,396 |
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–46,396 |
Share-based payments |
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8,816 |
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8,816 |
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8,816 |
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Balance as at 30 June 2021 |
1,586 |
227,472 |
–10,148 |
614,710 |
1,783 |
–34,512 |
800,891 |
–161 |
800,730 |
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Balance as at 1 January 2022 |
1,586 |
227,472 |
–9,217 |
706,204 |
1,251 |
–70,040 |
857,256 |
162 |
857,418 |
Loss for the period |
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–60,411 |
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–60,411 |
–25 |
–60,436 |
Other comprehensive income for the period |
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6,373 |
321 |
–12,316 |
–5,622 |
129 |
–5,493 |
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Total comprehensive income for the period |
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–54,038 |
321 |
–12,316 |
–66,033 |
104 |
–65,929 |
Transactions in treasury shares |
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104 |
–104 |
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– |
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– |
Dividends paid |
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–51,109 |
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–51,109 |
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–51,109 |
Share-based payments |
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6,951 |
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6,951 |
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6,951 |
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Balance as at 30 June 2022 |
1,586 |
176,363 |
–9,113 |
659,013 |
1,572 |
–82,356 |
747,065 |
266 |
747,331 |