Interim condensed consolidated statement of changes in equity
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Equity attributable to owners of SoftwareOne Holding AG |
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For the six months ended 30 June in CHF 1,000 |
Share capital |
Share premium |
Treasury shares |
Retained earnings |
Hedging reserve |
Currency translation adjustments |
Total |
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Non- controlling interest |
Total equity |
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Balance as of 1 January 2024 |
1,586 |
123,373 |
–30,905 |
702,353 |
–1,941 |
–154,377 |
640,089 |
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23 |
640,112 |
Profit for the period |
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27,974 |
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27,974 |
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–27 |
27,947 |
Other comprehensive income for the period |
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5,087 |
2,359 |
36,555 |
44,001 |
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44,001 |
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Total comprehensive income for the period |
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33,061 |
2,359 |
36,555 |
71,975 |
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–27 |
71,948 |
Transactions in treasury shares 1) |
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641 |
–14,905 |
–1,224 |
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–15,488 |
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–15,488 |
Dividends paid |
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–55,241 |
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–55,241 |
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–55,241 |
Share-based payments |
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6,218 |
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6,218 |
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6,218 |
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Balance as of 30 June 2024 |
1,586 |
68,773 |
–45,810 |
740,408 |
418 |
–117,822 |
647,553 |
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–4 |
647,549 |
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Balance as of 1 January 2025 |
1,586 |
69,188 |
–72,987 |
715,754 |
–608 |
–130,411 |
582,522 |
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– |
582,522 |
Profit for the period |
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9,875 |
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9,875 |
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9,875 |
Other comprehensive income for the period |
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1,325 |
–11,707 |
–34,785 |
–45,167 |
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–45,167 |
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Total comprehensive income for the period |
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11,200 |
–11,707 |
–34,785 |
–35,292 |
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– |
–35,292 |
Transactions in treasury shares |
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126 |
2,450 |
–1,827 |
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749 |
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749 |
Dividends paid |
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–9,122 |
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–36,490 |
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–45,612 |
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–45,612 |
Share-based payments |
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6,064 |
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6,064 |
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6,064 |
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Balance as of 30 June 2025 |
1,586 |
60,192 |
–70,537 |
694,701 |
–12,315 |
–165,196 |
508,431 |
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– |
508,431 |
1) Transactions in treasury shares 2024 include repurchases under share buyback programme.