Perth Markets

CONSOLIDATED STATEMENTOF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME For the year ended 30 June 2022 Note 2022 $’000 2021 $’000 Continuing operations Revenue 4a 26,215 24,780 Other income 4b 494 655 Total Revenue from continuing operations 26,709 25,435 Operating expenses Weekendmarkets expenses (483) (461) Operational expenses 5 (3,972) (3,676) Commercial site management expenses 6 (10,512) (9,961) Depreciation and amortisation expenses 10 (863) (445) Operating profit 10,879 10,892 Gain on revaluation of investment properties 11 58,214 7,440 Fair value gain on financial assets through profit or loss 9a 582 57 Finance expenses (2,769) (2,759) Acquisition related costs (332) (319) Profit before income tax 66,574 15,311 Income tax expense 7 (19,699) (7,207) Profit/(Loss) after income tax for the year 46,875 8,104 Other comprehensive income Items not reclassified subsequently to profit or loss: Changes in the fair value of cash flow hedges (net of tax) 18b 3,145 1,247 Total other comprehensive Income for the year 3.145 1,247 Total comprehensive Income/(Loss) for the year 50,020 9,351 The above consolidated statement of profit or loss and other comprehensive income should be read in conjunction with the accompanying notes 20

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