Consolidated statement of financial position

    Year ended December 31,
In thousands of Euro Notes 2009 2010
Assets      
Non-current assets      
Property, plant and equipment, net 8 220,005 217,211
Goodwill, net 9 596,602 798,993
Intangible assets, net 9 81,527 152,561
Investments in associates 10 9,970 10,934
Deferred income tax assets 29 24,192 51,318
Available-for-sale financial assets, net 10 1,270 1,667
Other non-current assets(1) 12 22,791 33,335
Derivative financial instruments 20 1,765 7,451
Total non-current assets   958,122 1,273,470
       
Current assets      
Inventories, net 13 150,621 155,254
Trade and other receivables, net(1) 14 432,072 537,099
Derivative financial instruments 20 15,401 7,937
Cash and cash equivalents 15 403,704 256,110
Total current assets   1,001,798 956,400
Assets held for sale 11 1,711 57,183
Total assets   1,961,631 2,287,053
       
Equity      
Share capital   88,016 88,016
Share premium   1,215,868 1,209,437
Treasury shares   (129,640) (132,046)
Fair value and other reserves   55,101 79,962
Cumulative translation adjustments   (22,879) 5,879
Retained earnings   201,226 344,302
Capital and reserves attributable to the owners of the Company   1,407,692 1,595,550
Non-controlling interests   11,795 14,757
Total equity   1,419,487 1,610,307
       
Liabilities      
Non-current liabilities      
Borrowings 16 14,946 14,772
Deferred income tax liabilities 29 22,293 19,213
Employee benefit obligations 17 32,706 43,587
Provisions and other liabilities 18 74,010 71,712
Derivative financial instruments 20 216 764
Total non-current liabilities   144,171 150,048
       
Current liabilities      
Trade and other payables 19 353,911 463,094
Current income tax liabilities   6,370 15,754
Borrowings 16 8,244 5,423
Derivative financial instruments 20 3,434 8,929
Provisions and other liabilities 21 26,014 13,710
Total current liabilities   397,973 506,910
       
Liabilities associated with assets held for sale 11 19,788
Total liabilities   542,144 676,746
Total equity and liabilities   1,961,631 2,287,053