10. Other operating income

 period ended 31/12/2013period ended 31/12/2012
Profit on disposal of fixed assets 2,403 2,013
Revaluation of non-financial assets, of which: 14,741 16,239
- Release of provision for fixed assets 6,904 8,194
- Release of provision for trade and other receivables 1,961 6,746
- Release of provision for inventories 5,876 1,299
Release of provisions 1,3 915
Compensation received  3,48 1,395
Dividends 399 600
Grants 111 507
Income from disposal of fixed assets 123 3,428
Surplus inventory 17 559
Revenue from the recovery of scrapped assets 65 724
Other income  2400 2,309
Total 25,039 28,689