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Interim report January-March 2026

Consolidated statement of comprehensive income

EUR million Q1 2026 Q1 2025 LTM FY 2025
Profit for the period 20.6 18.8 74.5 72.7
Other comprehensive income/(loss):        
Items that may be reclassified subsequently to income statement:        
Exchange differences on translating foreign operations -13.2 4.3 -47.0 -29.5
Cash flow hedge 1.1 0.0 1.4 0.3
Income tax relating to these items 0.0 -0.2 0.7 0.5
Other comprehensive income/(loss) for the period, net of tax -12.1 4.1 -44.9 -28.7
Total comprehensive income/(loss) for the period 8.5 22.9 29.6 44.0
Total comprehensive income/(loss) attributable to:        
Owners of the parent 10.4 25.4 38.9 53.9
Non-controlling interests -1.9 -2.5 -9.3 -9.9
Total comprehensive income for the period 8.5 22.9 29.6 44.0

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