AIFRS

Related by string. * * *

Related by context. All words. (Click for frequent words.) 68 IFRS 65 IFRSs 64 Normalised earnings 63 CGAAP 63 CICA Handbook section 63 IFRS2 63 FRS# 62 SFAS No.# 62 IFRIC 62 Normalised 62 FRSSE 62 interim condensed consolidated 62 CICA Section 62 CICA Accounting Guideline 62 IAS IFRS 61 IAS# [002] 61 Gaap 61 Appendix 4E 61 FAS# R 61 NPAT 60 Consolidated Entity 60 AcG 60 FSP FAS #-# 60 IFRS IFRS 60 distributable earnings 60 EBITDAF 60 Hedging Relationships 60 Accounting Policies 59 Appendix 4D 59 FSP #-# 59 adopting IFRS 59 Handbook Sections 59 Accounting Guideline 59 underlying NPAT 59 CICA Handbook 59 Reporting Standards 59 AASB 59 financialstatements 58 ASC Topic #-# 58 FASB ASC #-# 58 FAS#R 58 unrealized derivative gain 58 SORP 58 USGAAP 58 FASB Statement 58 RCOP 58 Net Tangible Assets 57 condensed consolidated interim 57 GBPm GBPm 57 ASC #-# 57 GBPm GBPm GBPm 57 ASC Topic 57 FSP APB #-# 57 SEK -#.# -#.# [002] 57 operatingincome 57 Financial Reporting Standards 57 SFAS# R 57 nonGAAP 57 Half Yearly Report 57 CICA Handbook Section 57 SFAS# 57 unaudited consolidated balance sheets 57 HKAS 57 MCEV 57 goodwill amortization 56 normalized EBITDA 56 Headline PBIT 56 Reporting Standards IFRS 56 EUR -#.# [001] 56 Equity Investees 56 Accounting Standards 56 EMEA Subsidiaries 56 Business Combinations 56 EITF #-# [001] 56 SEK -#.# [003] 56 MFFO 56 Asset Retirement Obligations 56 ebita 56 Accounting Standards IAS 55 Derivative Liabilities 55 FASB #R 55 GBP'# GBP'# 55 retrospectively adjusted 55 GBP'# 55 EITF #-# [002] 55 Accounting Standard AASB 55 reclassed 55 EBITDAA 55 AUD#.# [003] 55 SFAS #R Share 55 netincome 55 SIGNIFICANT ACCOUNTING POLICIES 55 Extra Ordinary Items 55 GUD Holdings Limited 55 SEK1 #m 55 A#.#m [005] 55 per dilutedshare 55 LIFO inventory 55 EITF Topic D 55 ATCF 55 ANZO 55 Embedded Derivatives 55 Than Temporary Impairments 55 Embedded Value 55 DAC offsets 55 Cashflows 55 flow hedges 55 Position EITF #-#-# 55 ebit 55 ASC #-#-# 55 condensed consolidated 55 unfranked dividend 55 IFRS IAS 54 adopting SFAS #R 54 CICA Handbook Sections 54 SEK -#.# [001] 54 EBITD 54 IPSAS 54 SFAS#R 54 Reclassifications 54 excludes unrealized gains 54 hedge ineffectiveness 54 Q2 F# 54 Previous Corresponding Period 54 Additions Accrual Basis 54 SFAS #R 54 Normalized EBITDA 54 Invested assets 54 Recapitalisation Proposal 54 Non GAAP adjusted EBITDA 54 Visa indemnification 54 DAC unlock 54 temporary impairments OTTI 54 profi t 54 Financial Instruments Disclosures 54 Estimated NAV 54 Pro forma EPS 54 amortizable 54 audited consolidated 54 APB# 54 FAS #-# 54 Comparative Figures 54 Pro forma EBITDA 54 ASX Listing Rule #.#A 54 Handbook Section 54 JORC code 54 ASC# 54 Normalized EPS 54 adopting FIN 54 Listing Rule #.#A 54 Pro Forma EBITDA 54 BDO Kendalls 54 Instalment Warrants 54 Zinifex Limited 54 GAAP 54 Items affecting comparability 54 FINANCIAL PERFORMANCE 54 FASB ASC 54 partly franked 54 CRITICAL ACCOUNTING ESTIMATES 54 Non IFRS 54 GBP#.#b 54 Adjusted FIFO EBITDA 53 Standardized Distributable Cash 53 Wealth Management AWM 53 SEK#.#bn [004] 53 No. #R 53 Pro forma Adjusted EBITDA 53 E#.#m [002] 53 CP#/# 53 Exceptional Items 53 ACCOUNTING POLICIES 53 Appendix 4E Preliminary 53 FASB Interpretation No. 53 actuarial liabilities 53 Listing Rule #.#.# [005] 53 FINANCIAL REVIEW 53 CAD#m [002] 53 EUR -#.# -#.# [001] 53 Taxable equivalent 53 Parent Entity 53 Consolidated Adjusted EBITDA 53 ACCOUNTING STANDARDS 53 #,# #,# #,# [012] 53 SEK -#.# -#.# [003] 53 MCEV basis 53 Responsible Entity 53 GBP#.# [001] 53 -tiger muskies 53 YEAR ENDED 53 Exposure Draft 53 Individual Annuities segment 53 CPFIS 53 unrealized derivative 53 Standards GIPS 53 Unaudited Unaudited Audited 53 SIFT Tax 53 FAS #R Share 53 FactSet Fundamentals 53 Bluehone 53 FINANCIAL YEAR ENDED 53 Board AcSB 53 Havilah Resources NL 53 Adjusted Ebitda 53 fullyear 53 ZDP Shares 53 heps 53 WHK Horwath 53 GBPm 53 FAS #R 53 EBITDA1 53 Rm Rm 53 Appendix 4C 53 derivative instrument 53 normalized EPS 53 Comparatives 53 Coppermoly Ltd 53 Auditing Practices Board 53 millioncompared 53 Generally Accepted 53 #.# perdiluted 53 SFAS No.#R 53 Customer Loyalty Programmes 53 standardized distributable cash 53 non gaap 53 DTR #.#.#R 53 EDITDA 53 Embedded Value EEV 53 FINANCIAL STATEMENTS FOR 53 SKr#.#bn [002] 52 excluding BIBP 52 SFAS 52 Condensed consolidated 52 Legal #.# 52 income1 52 YTD Q3 52 Fully diluted EPS 52 SDRT 52 GAAP Generally Accepted 52 FY# NPAT 52 proforma 52 prioryear 52 pro forma adjusted EBITDA 52 ASC Subtopic #-# 52 materiality threshold 52 ended September# 52 General Accepted Accounting 52 LIFO accounting 52 US#.#m [002] 52 Certain comparative 52 Variable Interest Rate 52 OSIs 52 Accounting Standards Codification 52 #.#c #.#c [006] 52 SEK -# 52 Capital Disclosures 52 FIN #R 52 Accounting Principles GAAP 52 operating income1 52 Hedging Relationships AcG 52 adopting SFAS 52 condensed consolidated balance sheets 52 Corporate Governance Statement 52 earnings pershare 52 unaudited unaudited audited 52 Ordinary Dividends 52 pnds stlg 52 Performance Standards GIPS 52 securitization exposures 52 Westpac TPS 52 Standard #R Share 52 ROFE 52 Money Laundering Regulations 52 NZX Listing Rules 52 R'# R'# R'# 52 R# 7m [002] 52 Scheme Consideration 52 cash fl ow 52 Adjusted EBITDA excludes 52 EITF #-#-# 52 LIFO adjustment 52 Segmental 52 SEK -#.# [002] 52 Significant Items 52 franked dividend 52 principles GAAP 52 SIFT Rules 52 From Operations AFFO 52 FSP EITF #-#-# [002] 52 Cash Flow Statement 52 § #.#-# [004] 52 Notice #-# [002] 52 Espreon 52 proforma EPS 52 SIFTs 52 Entitlement Offer 52 Assuming Dilution 52 Flow Through SIFT 52 #H# NPAT 52 Unlevered Cash Flow 52 income teb 52 Underlying EBIT 52 items affecting comparability 52 Accounting Guideline AcG 52 Imputed Revenue 52 NPREIT 52 AML CTF Act 52 #.#p #.#p [007] 52 Institutional Entitlement Offer 52 PFICs 52 Q4 F# 52 Operational EBITDA 52 Pro forma adjustments 52 AFS licensees 52 HY1 52 DEXUS Property Group 51 #.#per diluted 51 GAAPs 51 IAASB 51 LIRH 51 c Relates 51 No. #R Share 51 A#.#m [003] 51 remeasurements 51 HALF YEAR ENDED 51 Recurring EBITDA 51 Dhs1 #m 51 FIFO inventory 51 BVPS 51 NET ASSET VALUE 51 pretax goodwill impairment 51 CAD#.# [001] 51 substantively enacted 51 Mineral Resource estimates 51 SEC Regulation FD 51 contingently convertible debt 51 netsales 51 #.#ca share [003] 51 GBP'# GBP'# GBP'# 51 FAS# [001] 51 Consolidated EBITDAR 51 Adjusted Operating Expenses 51 Advisers Act 51 Allomak Limited 51 Listing Rule #.#.# [001] 51 Westpac SPS 51 EBIT 51 Distributable 51 AUD#m 51 unfranked 51 Capitalised 51 Headline earnings 51 Australian Accounting Interpretations 51 Non GAAP Proforma 51 TEUR -# 51 FIN #R Consolidation 51 accompanying unaudited consolidated 51 Generally Accepted Accounting Principle 51 Items impacting comparability 51 HLB Mann Judd 51 tax npat 51 ZAR#m 51 Reviewed Audited 51 CHF#m [002] 51 EBITDAC 51 TEB adjustment 51 £ #.#m £ #.#m 51 fully franked dividends 51 Timeshare segment 51 #.#ca share [002] 51 SFAS No. 51 NZ Superannuation Fund 51 Rollover Applicants 51 FASB Interpretation 51 Transparency Rules 51 Predecessor Period 51 IFRS IASB 51 MNOK #,# 51 Fee Earning Assets 51 actuarially determined 51 retrospectively restated 51 #.#cps [002] 51 applied prospectively 51 totaled EUR#.# 51 EBDDT 51 Core FFO 51 undrawn commitments 51 Operating Expense Ratio 51 museum Julie Setlock 51 NOI decreased 51 -T#/T# 51 FIFO EBITDA 51 fully franked interim 51 Consolidated OIBDA 51 normalized FFO 51 fully franked dividend 51 JORC 51 H1 FY# [001] 51 ROACE 51 Profit Rises Quick Facts 51 FASB ASC Topic 51 Trust ANZO 51 Successor Period 51 unobservable inputs 51 excluding goodwill impairment 51 LAQC 51 PRRT 51 EnPro consolidated 51 NZSF 51 UITF 51 MANAGEMENT DISCUSSION AND ANALYSIS 51 REVIEW OF OPERATIONS 50 endedSeptember 50 IFRS changeover 50 securitized receivables 50 abnormals 50 Explanatory Notes 50 similarly captioned 50 unaudited consolidated balance sheet 50 totaled SEK 50 Variable Interest Entities VIEs 50 Asset Retirement Obligation 50 ASX Announcement 50 Rev. Proc 50 Priority Unitholders 50 diluted HEPS 50 PDSs 50 Adjusted EBIT 50 adopted Accounting Guideline 50 #.# mln aud 50 Rosebel royalty 50 interim unaudited consolidated 50 EVLI 50 Victor Hoog Antink 50 - AdjusETON 50 excluding QSI 50 Statement #R 50 CONSOLIDATED CASH FLOW STATEMENT 50 Recent Accounting Pronouncements 50 Supplementary Product Disclosure 50 Adjusted EBITDA1 50 Capital Adequacy 50 adjusted1 50 dilutionary effect 50 INIF 50 SFSB Inc. 50 NOK#.# [006] 50 Geomark 50 Mineral Resource estimation 50 NGER Act 50 Impairment Losses 50 equity accounted investees 50 IRESS Market Technology 50 Currency translation 50 Brookfield Multiplex Capital 50 OREO valuation 50 PIXMA MX# Office 50 Mothercare plc 50 CIC convertible debenture 50 GBP#.#m [002] 50 UNUSUAL ITEMS 50 per share1 50 GAAP Adj 50 fiscal# 50 BDO Kendalls Corporate 50 Market Capitalisation 50 PVNBP 50 - -Guldeniz 50 excluding reimbursables 50 Q#-Q#/# [002] 50 adjusted ebitda 50 No. #R SFAS 50 Merged Entity 50 Specified Investment 50 WHSP 50 No. AUG AIR 50 MSEK -#.# 50 Note Certain reclassifications 50 MFRS 50 HY# 50 JORC Code 50 actuarial valuations 50 Rs.#.# crores [006] 50 FAS CAS pension 50 Concession Arrangements 50 Conditional Asset 50 MCCSR ratio 50 LIFO inventory valuation 50 TRANSACTIONS WITH RELATED PARTIES 50 Scheme Booklet 50 reinvested distributions 50 #cps 50 Cobalt Gordian 50 MSEK -# [001] 50 EEV basis 50 beia 50 Aspect Huntley 50 Och Ziff Operating 50 npat 50 MNOK #.# 50 QSPEs 50 Arana Therapeutics Limited 50 LIFO inventory adjustments 50 #.# mil rub [003] 50 Non Recurring 50 dividend imputation 50 % unannualized 50 Retirement Obligations 50 GPNL 50 GBP#.# billion [001] 50 retroactive restatement 50 Currency translation differences 50 Varvarinskoye Project 50 Statutory Accounting Principles 50 KIID 50 Foreign Currency Translation 50 adjusted distributable cash 50 Projected FFO 50 Stapled Security 50 SIX MONTHS ENDED 50 EUR1 #.#m 50 DEXUS 50 -AL Gustin 50 FSP EITF #-#-# [001] 50 -Swindon Spitfires 50 EBITDA 50 capital employed ROACE 50 items impacting comparability 50 #.#p #.#p [008] 50 b Excludes 50 Appendix 4D Half 50 unaudited condensed 50 FFO allocable 50 Diluted HEPS 50 GBP #.#m [003] 50 FlexiGroup Limited 50 LBITDA 50 capitalizable 50 Standardized distributable cash 50 profit beia 50 OTTI charge 50 cash fl ows 50 Bonus Loyalty 50 #.#p #.#p [002] 50 FranconoRheinMain 50 Dhs2 #m 50 - Non Shane Germann 50 INTERIM FINANCIAL REPORT 50 Amortisation EBITDA 50 Derivative Instruments 50 Capital Employed 50 unitholder distributions 50 EBITA 50 Distributable Income 50 shaPE 50 USLP Plan 50 STOCK BASED COMPENSATION 50 Adjusted Gross Profit 50 APPENDIX 4D 50 * Reclassified 50 reinsurance commutations 50 RUB #.#bn [001] 50 Adjusted Earnings 50 ALE Property 50 #,# #,# [011] 50 Kereco 50 Oxy ER 50 comparatives 50 CICA handbook 50 Original Bidder Statement 50 Q#/FY# 50 #.#bln rbl [003] 50 NZ#.#m [002] 50 Amcil 50 FINANCIAL OVERVIEW 50 Amortized Cost 50 Listing Rule #.#.# [003] 50 Offer Document dated 50 -#,# -#,# [004] 50 Principles GAAP 50 IAS# accounting 50 APN UKA European 50 Second Quarter Highlights 50 Summarized consolidated 50 SKr 50 Auditing Standards 50 GEONG 49 Retail Deposit Guarantee 49 GBP #.#m [002] 49 SHAREHOLDERS FUNDS 49 Before Unusual Items 49 Quarterly Activities 49 Unfavourable Changes 49 realizability 49 Fully taxable 49 FASB Statement #R 49 Fabricated Products segment 49 accompanying condensed consolidated 49 securitized cardmember loans 49 Statutory Accounts 49 NPVs 49 FIFO method 49 Critical Accounting 49 -# -1 49 Position SOP #-# 49 ASX Listing 49 EURm 49 Non GAAP adjustments 49 weighted avg 49 Prepaid ARPU 49 #.#/diluted share 49 retroactively restated 49 CORPORATE GOVERNANCE STATEMENT 49 eServGlobal Limited 49 NON CASH EXPENSES 49 Corporate Governance Principles 49 Stapled Securities 49 EUR#.#b 49 Ore Reserves 49 NBPE 49 Proportionate 49 EBIAT 49 -# TEUR 49 retranslation 49 OFRs 49 convertible exchangeable 49 Adjusted EBT 49 AgriFinancial 49 -Kahaani Ghar Ghar Ki 49 #.#p [011] 49 Adjusted EBTIDA 49 TSEK 49 Specified Items 49 - Adjusted [014] 49 Canadian Generally Accepted 49 OTTI 49 SFr#.#bn [001] 49 Loss Narrows Quick Facts 49 - Total liabilities [011] 49 CAD#m [001] 49 adjusted EBITDAS 49 - Adjusted [019] 49 subaccounts serviced 49 Fixed Remuneration 49 EUR #,# Mio 49 #.#ca share [001] 49 Remuneration Report 49 - - Income [031] 49 Accounting Standards RAS 49 unrealized gains 49 - Adjusted [026] 49 intangible impairment 49 infrequently occurring 49 RUB#.# [004] 49 GBP #.#bln [001] 49 -By DON HUNTER 49 Fazenda Nova Mine 49 Cash Flow Statements 49 PDMRs 49 estimated undiscounted 49 OnVista Group 49 DAC unlocking 49 ABCP holdings 49 IAS IFRS accounting 49 derivative liabilities 49 YonY 49 withholdable payments 49 adopted SFAS #R 49 Utilico 49 Competent Persons 49 SEK #.#M #.# 49 d Reflects 49 Statement #R Share 49 CFFO 49 5 Yr Avg 49 -experimentations 49 AcSB 49 Mr Shafron 49 Interest Coverage Ratio 49 Eugene Puritch P.Eng 49 DNOI 49 CICA issued 49 Brett Le Mesurier 49 CLERP 9 49 AGF Trust 49 SEK -#.# -#.# [001] 49 diluted EPS 49 noninterest expense totaled 49 THE YEAR ENDED 49 Normalised headline 49 CHANGES IN ACCOUNTING POLICIES 49 Adjusted Diluted EPS 49 -Lighting Designers 49 Payment FAS #R 49 PRC Accounting Standards 49 #.#. #.#.# [002] 49 acquisitions divestments 49 Trintech ReconNET 49 Currency Translation 49 consolidated OIBDA 49 IGD surplus 49 AIFs 49 -Viejas Tribal Chairman 49 Generally Accepted Accounting Principles 49 -Ladies Auxiliary bingo 49 #,# #,# #,# #,# [005] 49 #compared 49 Stewardship Code 49 unaudited consolidated interim 49 Condensed Cash Flow 49 accumulated undistributed 49 undepreciated real estate 49 fully franked 49 4Q FY# 49 intangible assets impairment 49 IVQ 49 Promotions.com subsidiary 49 noncash impairments 49 Financial Instruments 49 amorti 49 LinQ Resources Fund 49 OPANA franchise 49 Corporate Governance Code 49 MSR valuation 49 mandatorily redeemable 49 CDFS joint ventures 49 Wotif.com Holdings Limited 49 SAMREC Code 49 NETg acquisition 49 Adjusted pro forma 49 #.#c [001] 49 Updated Feasibility Study 49 Medicare Advantage MLR 49 derivative instruments 49 Explanatory Note 49 amortisations 49 #,# #,# #,# [008] 49 TFG CLO investments 49 RDIs 49 Repcol 49 Proposed Takeover 49 USD#.#m [008] 49 EXPLANATORY NOTES 49 NON RECURRING ITEMS 49 TRAFINA 49 DPAC amortization 49 Recurring FFO 49 intangible impairments 49 NZDX 49 Rs#.#mn [002] 49 Audited Results 49 #M/# 49 ASX WBC 49 - - Net [047] 49 La.Code Crim.P. art 49 Audited Consolidated 49 c Calculated 49 GBPm GBPm GBPm GBPm 49 Dexus Property Group 49 Chapter 6D 49 ASX Corporate Governance 49 NGER 49 - - Net [052] 49 Balance Sheet Cash Flow 49 - Adjusted [013] 49 PVNBP basis 49 PRIPs 49 ReHo 49 Remuneration Code 49 - Loss [020] 49 EBT amounted 49 Retail Entitlement Offer 49 imputation credits 49 Beneficial Ownership 49 TCE RWA ratio 49 Revaluations 49 AIM Rules 49 Shareholder Applicants 49 Chief Executive Offi cer 49 warranty accruals 49 Adjusted EBITDAS 49 intersegment eliminations 49 #R Share 49 AUD#.# [004] 49 Non Controlling Interests 49 TSX VENTURE EXN 49 OCF margin 49 Partially offset 49 totaled MEUR 49 French Gaap 49 LAQCs 49 attached unaudited condensed 49 Calculation Date 49 Income Trusts 48 Rm Rm Rm 48 efficiency ratio teb 48 Holdings Limited LRE 48 GBP #.#m [001] 48 Depreciation Amortisation 48 unusuals 48 #.#c [003] 48 #.#p #.#p [004] 48 contingently convertible securities 48 APB Opinion No. 48 totaled BRL#.# 48 FINANCIAL YEAR 48 FFOPS 48 normalized EBIT 48 Realised Earnings 48 Pro forma Pro forma 48 Corporations Act 48 Securityholder 48 DTR #.#.# 48 #,# #,# -#,# [002] 48 2P reserve 48 FATCA 48 Adjusted Distributable Cash 48 uncollectible accounts receivable 48 #,# #,# #,# [002] 48 realizable value 48 Appendix 3Y 48 Proved Developed Reserves 48 AvenEx 48 unbilled revenue 48 Adjust ments 48 adopted CICA Handbook 48 NAIC RBC 48 CIM definitions 48 #,# #,# #,# [010] 48 SSAP 48 CAUTIONARY STATEMENTS 48 Cth Corporations Act 48 Accounting Standards Codification ASC 48 prelisting 48 SEAMARK 48 DEPS guidance 48 Material Fact 48 FINANCIAL DETAILS 48 Adjusted distributable cash 48 AED#.#m 48 adjusted1 net 48 Operating Netbacks 48 Discretionary cash 48 Appendix 5B 48 GSJBW 48 Introductory teaser rates 48 FSPs 48 Investigating Accountant 48 Tangible Asset 48 USD#.#m USD#.# per [002] 48 Financial Reporting Interpretations 48 ISK #.#bn EUR 48 Sandstorm Resources 48 Cluff Gold plc 48 translation adjustment 48 USOGP 48 excluding unrealized gains 48 A#.#bn 48 Continuous Disclosure Policy 48 ratio LVR 48 Fairquest 48 SMSF trustees 48 9M FY# [001] 48 pro forma 48 bln.togrogs 48 reinstatement premiums 48 stapled securities 48 SYNAXON AG 48 § #.#-# [007] 48 Distribution FAD 48 AUD#.# [005] 48 - Adjusted [030] 48 noninterest expense decreased 48 ACA ACCA CIMA 48 No. #R Consolidation 48 accretion expense 48 Tikcro holdings 48 Institutional Placement 48 profit RCOP 48 discloseable transaction 48 Profit Loss 48 Amapari Mine 48 EPRA NAV 48 No. EITF #-#-# 48 INTERIM REPORT 48 Sabvest 48 UXC Limited 48 - Adjusted [028] 48 Hedging Activities 48 Distributable Cash 48 Fy# 48 Deductions depreciation 48 CICA Accounting Standards 48 #December 48 Pöyry PLC 48 #.#ca [003] 48 Realised gains 48 MFB Corp 48 DKK #.#bn [001] 48 Rollover Application 48 Ordinary Share 48 CHF#.#bn [002] 48 RUB#.# [003] 48 #.#ca [004] 48 Cash Flow Available 48 Earning Per Share 48 IAROC 48 HK#.# cents [001] 48 Adjustment Expenses 48 withholdable payment 48 NSFR 48 - Adjusted [034] 48 Audited Annual 48 #,# #,# #,# [011] 48 LAE reserves 48 USD#.#m USD#.# [002] 48 rebased amounts 48 Counterparty Criteria 48 Rs#.#mn [001] 48 Supplementary Prospectus 48 Substantial Issuer Bid 48 SEK#.#m [001] 48 Half Yearly Accounts 48 c Represents 48 #.#bn rub [004] 48 nonroutine income 48 NASDAQ DubaiNASDAQ Dubai 48 MEP Joint Venture 48 Pro Forma Adjusted EBITDA 48 - Assets [009] 48 Amlin plc 48 notional amounts 48 Urbus Properties 48 IETU 48 contingently issuable shares 48 CapMan Plc 48 Adjusted EBITA 48 Scrip Dividend Programme 48 standard FRS# 48 Fair Value Measurements 48 LPT Agreement 48 Avenir Trust 48 Profit Rises Update 48 MSEK -# [002] 48 proforma basis 48 Summary Table 48 Liquidity Ratio 48 Comparable EBITDA 48 #.#c #.#c [002] 48 PIEs 48 Asset Impairment Charge 48 Balance Sheet 48 Mirrabooka Investments 48 Reported ments 48 #,# #,# #,# [014] 48 ANNUAL REPORT 48 R'# R'# 48 invoiced shipment 48 - Adjusted [006] 48 Critical Accounting Policies 48 f Represents 48 diluted EPADS 48 Non GAAP Operating Margin 48 Cents Cents 48 LIFO provision 48 WA Pty Ltd 48 Adjusted EBITDAX 48 GSCT program 48 Further Cautionary Announcement 48 INL INP Investec 48 Rs#.#cr [001] 48 SILO LILO charges 48 Normalized FFO 48 ANZ Custodian 48 R#m R#m [002] 48 Eugene Puritch P. Eng 48 = Non GAAP [014] 48 non recurring 48 CASH FLOW STATEMENT 48 reconciles Adjusted EBITDA 48 CGT exemption 48 Comprehensive Income 48 property revaluations 48 HiPortfolio 48 unaudited Consolidated Statements 48 Innovene operations 48 Normalized EBIT 48 OTTI charges 48 Standardized Approach 48 Supplemental Schedules 48 unrealized losses 48 Profit Surges Quick Facts 48 CfDs 48 Non GAAP diluted 48 GBP#.#bn [003] 48 Jamil Khatri 48 forestry MIS 48 R# 9m [001] 48 Termination Benefits

Back to home page