For the year ended 31 December 2011
- 1
- General information
- 2
- Basis of preparation
- 3
- Accounting policies
- 4
- Segment reporting
- 5
- Operating profit
- 6
- Staff costs
- 7
- Investment income
- 8
- Finance costs
- 9
- Tax on profit on ordinary activities
- 10
- Discontinued operations
- 11
- Dividends
- 12
- Earnings per share
- 13
- Goodwill
- 14
- Intangible assets
- 15
- Property, plant and equipment
- 16
- Interests in associates and joint ventures
- 17
- Available-for-sale financial assets
- 18
- Trade and other receivables
- 19
- Trade and other payables
- 20
- Financial instruments
- 21
- Deferred tax
- 22
- Provisions
- 23
- Share capital
- 24
- Own shares
- 25
- Share premium account
- 26
- Acquisition of subsidiaries
- 27
- Other non-current liabilities
- 28
- Contingent Asset
- 29
- Notes to the cash flow statement
- 30
- Operating lease arrangements
- 31
- Share-based payments
- 32
- Retirement benefit schemes
- 33
- Related party transactions
- 34
- Subsequent events