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Ryanair Holdings plc (RYAOF) Reserve Of Cash Flow Hedges

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Ryanair Holdings plc Reserve Of Cash Flow Hedges

Ryanair Holdings plc (RYAOF) had Reserve Of Cash Flow Hedges of -EUR 21.00 million as of 2025-03-31, per its 20-F filed 2025-05-19.

Financial Statements › Notes › Derivative Instruments and Hedging Activities

ifrs-full:ReserveOfCashFlowHedges · last filed 2025-05-19

  • 2025-03-31: Reserve Of Cash Flow Hedges -21.00M EUR.
  • 2024-03-31: Reserve Of Cash Flow Hedges 266.00M EUR.
  • 2023-03-31: Reserve Of Cash Flow Hedges 31.00M EUR.
  • 2022-03-31: Reserve Of Cash Flow Hedges 1.29B EUR.
Period endReserve Of Cash Flow HedgesReserve Of Cash Flow Hedges as first filed
2025-03-31-21.00M EUR
20-F · filed 2025-05-19
2024-03-31266.00M EUR
20-F · filed 2025-05-19
2023-03-3131.00M EUR
20-F · filed 2025-05-19
2022-03-311.29B EUR
20-F · filed 2024-06-27
2021-03-31211.00M EUR
20-F · filed 2023-07-24
2020-03-31-111.00M EUR
20-F · filed 2022-07-25
-111.30M EUR
20-F · filed 2020-07-28
2019-03-31275.00M EUR
20-F · filed 2021-07-27
274.60M EUR
20-F · filed 2019-07-30
2018-03-31-359.70M EUR
20-F · filed 2020-07-28
2017-03-31221.90M EUR
20-F · filed 2019-07-30
2016-03-31-300.60M EUR
20-F · filed 2018-07-30