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2568.11 kb - Compass Group

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72 <strong>Compass</strong> <strong>Group</strong> PLC Annual Report 2007Notes to the consolidated financial statementsfor the year ended 30 September 200723 Post-employment benefit obligations continuedThe mortality tables used in the actuarial valuation imply life expectancy at age 65 in years for typical members as follows:UK schemes Male non-pensioner Male pensioner Female non-pensioner Female pensionerAt 30 September 2007 21.8 years 20.5 years 24.7 years 23.5 yearsAt 30 September 2006 20.9 years 19.7 years 23.7 years 22.6 yearsUSA schemes Male FemaleAt 30 September 2007 18.1 years 20.4 yearsAt 30 September 2006 18.1 years 20.4 yearsUK schemes USA schemes Other schemesExpected Expected Expected Total30 September 2007 return £m return £m return £m £mEquity instruments 8.0% 383 8.8% 46 6.6% 25 454Debt instruments 5.3% 838 5.9% 19 4.7% 33 890Other 6.0% 69 3.8% 4 5.2% 25 98Total plan assets 6.1% 1,290 7.7% 69 5.7% 83 1,442Present value of funded obligations (1,199) (81) (98) (1,378)Present value of unfunded obligations (29) (48) (57) (134)Surplus not recognised in accordance with IFRIC 14 (91) – (1) (92)Liability in the balance sheet (29) (60) (73) (162)UK schemes USA schemes Other schemesExpected Expected Expected Total30 September 2006 return £m return £m return £m £mEquity instruments 7.7% 401 8.7% 47 6.4% 45 493Debt instruments 4.7% 764 5.6% 20 3.5% 81 865Other 4.5% 9 4.4% 1 4.1% 40 50Total plan assets 5.7% 1,174 7.8% 68 4.5% 166 1,408Present value of funded obligations (1,241) (91) (187) (1,519)Present value of unfunded obligations (28) (64) (79) (171)Liability in the balance sheet (95) (87) (100) (282)UK schemes USA schemes Other schemesExpected Expected Expected Total30 September 2005 return £m return £m return £m £mEquity instruments 7.5% 489 8.3% 53 6.2% 44 586Debt instruments 4.5% 305 5.0% 17 3.4% 65 387Other 4.0% 18 3.9% 1 3.0% 48 67Total plan assets 6.3% 812 7.4% 71 4.0% 157 1,040Present value of funded obligations (1,155) (96) (176) (1,427)Present value of unfunded obligations (24) (70) (74) (168)Liability in the balance sheet (367) (95) (93) (555)The expected rates of return on individual categories of plan assets are determined after taking advice from external experts and using availablemarket data, for example, by reference to relevant equity and bond indices published by Stock Exchanges. The overall rate of return is calculatedby weighting the individual rates in accordance with the anticipated balance in the respective investment portfolio of each plan.2007 2006Total pension costs/(credits) UK USA Other Total UK USA Other Totalrecognised in the income statement £m £m £m £m £m £m £m £mCurrent service cost 12 3 12 27 19 3 16 38Past service credit – (1) – (1) – (2) – (2)Curtailment credit – – (6) (6) (6) (6) – (12)Charged/(credited) to operating expenses 12 2 6 20 13 (5) 16 24Amount charged to plan liabilities 64 8 8 80 59 9 8 76Expected return on plan assets (67) (5) (6) (78) (54) (5) (6) (65)(Credited)/charged to finance costs (3) 3 2 2 5 4 2 11Total pension costs/(credits) 9 5 8 22 18 (1) 18 35The total pension costs/(credits) shown above relate to both the continuing and discontinued business.

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