Share
capital
£m
Share
premium
account
£m
Own
shares
£m
Other
reserves
£m
Hedging
and
translation
reserves
£m
Retained
earnings
£m
Equity
attributable
to equity
holders of
the parent
£m
Non-
controlling
interests
£m
Total
equity
£m
Half year to 30 June 2015
1 January 201533.1177.1(7.1)136.6(3.0)233.7570.40.5570.9
Net profit for the period20.220.220.2
Exchange differences on translation
of overseas operations
(19.6)(19.6)(19.6)
Total comprehensive income for the period(19.6)20.20.60.6
Acquired in the period / settlement of share options(2.2)(2.1)(2.4)(6.7)(6.7)
Share-based payments0.80.80.8
Dividends paid(56.9)(56.9)(56.9)
30 June 201533.1177.1(9.3)135.3(22.6)194.6508.20.5508.7
Half year to 30 June 2014
1 January 201433.1177.1(5.5)140.14.7197.3546.80.6547.4
Net profit for the period40.240.240.2
Exchange differences on translation
of overseas operations
(16.0)(16.0)(16.0)
Total comprehensive income for the period(16.0)40.224.224.2
Acquired in the period / settlement of share options(1.7)(5.1)0.4(6.4)(6.4)
Share-based payments1.91.91.9
Dividends paid(36.5)(36.5)(36.5)
Disposed with subsidiary(0.1)(0.1)
30 June 201433.1177.1(7.2)136.9(11.3)201.4530.00.5530.5
Year ended 31 December 2014
1 January 201433.1177.1(5.5)140.14.7197.3546.80.6547.4
Net profit for the year79.479.4(0.1)79.3
Exchange differences on translation
of overseas operations
(7.0)(7.0)(7.0)
Actuarial gains on defined benefit pension schemes net of deferred tax1.51.51.5
Total comprehensive income for the year(7.0)80.973.9(0.1)73.8
Acquired in the year / settlement of share options(1.6)(5.4)(7.0)(7.0)
Share-based payments1.91.91.9
Dividends paid(45.2)(45.2)(45.2)
Disposal/dissolution of subsidiary(0.7)0.7
31 December 201433.1177.1(7.1)136.6(3.0)233.7570.40.5570.9

Included in other reserves is the capital redemption reserve arising on redemption of the Group's B shares of £129.8m (2014: £129.8m) and the share-based payment reserve of £4.6m (2014: £6.2m).