2015
£000
2014
£000
2013
£000
2012
(Restated)
£000
2012
£000
2011
£000
Consolidated Income Statement
Revenue203,480193,571189,176124,330426,041389,237
Underlying operating profit44,35142,16839,10825,54536,60131,823
Underlying profit after taxation35,30731,84925,46416,02924,30222,748
Underlying earnings per share
— basic (pence)
40.1737.6138.9832.37*31.53*
— diluted (pence)39.9037.4838.7132.27*31.43*
Continuing underlying earnings per share
— basic (pence)
40.1736.4529.2721.35*
— diluted (pence)39.9036.3229.0721.28*
Dividend per share (pence)16.9415.4014.0012.27*12.27*11.12*
Operating profit25,98024,99618,33610,27220,89021,718
Profit after taxation19,45919,41610,8503,90511,74914,134
Earnings per share
— basic (pence)
22.1467.5720.5915.65*19.59*
— diluted (pence)21.9967.3320.4515.60*19.53*
Continuing earnings per share
— basic (pence)
22.1422.2212.475.20
— diluted (pence)21.9922.1412.395.18
Consolidated Statement of Financial Position
Non-current assets183,506214,440235,670237,132242,592132,819
Current assets108,62486,33489,67286,863161,829137,549
Current liabilities(44,109)(35,715)(49,558)(48,217)(103,461)(88,952)
Non-current liabilities(53,533)(60,253)(136,991)(147,278)(147,278)(83,083)
Net assets held for sale35,82325,182
Shareholders' funds194,488204,806174,616153,682153,68298,333
Consolidated Statement of Cash Flows
Net cash inflow from operating activities40,98311,47236,86519,24216,754
Net cash (outflow)/inflow from investing activities(4,651)76,575(19,368)(120,344)(36,178)
Net cash (outflow)/inflow from financing activities(14,819)(92,148)(18,266)103,70818,867

*Restated to reflect the impact of the bonus element of the Rights Issue.

Restated to reflect the Services Segment as discontinued operations.

Excluding net assets held for sale.