14
2024
ITF
Annual
Report
and
Financial
Statements
Consolidated Statements
Note(s) 2024
$000
2023
$000
Total (deficit) / surplus for the year 38 (9,612) (373)
Other comprehensive profit / (loss)
Items that may be reclassified to profit or loss
Foreign exchange transla on differences - 1
(Loss) / profit on revalua on of cash flow hedges (1,862) 2,758
Total other comprehensive (loss) / profit for the year 38 (1,862) 2,759
Total comprehensive (loss) / profit for the year (11,474) 3,131
Consolidated Statement
of Comprehensive Income
2024
$000
2023
$000
Equity at start of the year 43,342 40,211
Total comprehensive (loss) / profit for the year
(Deficit) / surplus for the year (9,612) 373
Foreign exchange transla on differences - 1
Net change in fair value of cash flow hedges (1,862) 2,758
Total comprehensive (loss) / profit for the year (11,474) 3,131
Equity at end of the year 31,868 43,342
The notes on pages 16 to 38 are an integral part of these consolidated financial statements.
Consolidated Statement
of Changes in Equity
for the year ended 31 December 2024
for the year ended 31 December 2024