Statement of changes in equity - Group

(All amounts in Sri Lankan Rupees million)

Attributable to owners of the Company

Group Notes Stated
capital
Insurance
reserve
Fair value
reserve
Exchange
translation
reserve
Retained
earnings
Total Non-
controlling
interest
Total
equity
Balance as at 1 January 2013 18,049 435 (3) 4 37,502 55,987 55,987
Total comprehensive income for the year
Net profit for the year 2013 5,419 5,419 5,419
Other comprehensive income
Impact on liquidation of SLT Hong Kong (4) (4) (4)
Fair value reserve reclassified to profit or loss 3 3 3
Defined benefit plan actuarial (losses)/gain,
net of tax
(82) (82) (82)
Total other comprehensive income 3 (4) (82) (83) (83)
Total comprehensive income for the year 5,337 5,336 5,336
Transactions with owners, recorded directly in equity
Contribution by and distribution to owners
Dividends to equity shareholders (1,534) (1,534) (1,534)
Insurance reserve
Transfer to insurance reserve 27 65 (65)
Balance as at 31 December 2013 18,049 500 41,240 59,789 59,789


Attributable to owners of the Company

Group Notes Stated
capital
Insurance
reserve
Fair value
reserve
Exchange
translation
reserve
Retained
earnings
Total Non-
controlling
interest
Total
equity
Balance as at 1 January 2014 18,049 500 41,240 59,789 59,789
Total comprehensive income for the year
Net profit for the year 2014 6,001 6,001 6,001
Other comprehensive income
Defined benefit plan actuarial (losses)/
gain, net of tax
(356) (356) (356)
Total other comprehensive income (356) (356) (356)
Total comprehensive income for the year 5,645 5,645 5,645
Transactions with owners, recorded directly in equity
Contribution by and distribution to owners
Dividends to equity shareholders (1,534) (1,534) (1,534)
Insurance reserve
Transfer to insurance reserve 27 60 (60)
Balance as at 31 December 2014 18,049 560 45,291 63,900 63,900

The Notes form an integral part of these Financial Statements.