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Statements of changes in equityfor the year ended 30 June 2024

Rm  Stated  capital  Non-distri-
butable 
reserves 
Treasury  shares  Share  option  reserve  Retained
 earnings 
Total  Non-
controlling  interests 
Total  equity 
GROUP 
Balance at 30 June 2022  4 314  (935) 242  3 070  6 696  302  6 998 
Profit for the year  1 605  1 605  51  1 656 
Other comprehensive income for the year  42  42  42 
Total comprehensive income for the year  42  1 605  1 647  51  1 698 
Purchase of own shares  –  –  (104) –  –  (104) (104)
Dividends paid  –  –  –  –  (730) (730) (55) (785)
Transactions with non-controlling interests  –  –  –  –  (13) (11)
Share incentive costs (including vesting settlement) –  –  (48) (38) 58  (28) –  (28)
Balance at 30 June 2023  4 314  47  (1 087) 204  4 005  7 483  285  7 768 
Profit for the year  1 462   1 462   45   1 507  
Other comprehensive income for the year  (19)  (19)  (19) 
Total comprehensive income for the year  (19)  1 462   1 443   45   1 488  
Issue of shares     
Purchase of own shares      (212)      (212)    (212) 
Dividends paid          (563)  (563)  (43)  (606) 
Transactions with non-controlling interests          (5)  (5)  16   11  
Share incentive costs (including vesting settlement)     6   5   14   25     25  
Balance at 30 June 2024  4 314   28   (1 293)  209   4 913   8 171   303   8 474  
Note  24  25  6  6 

Rm  Stated 
capital
 
Treasury 
share
 
Share 
option 
reserve
 
Retained 
earnings
 
Total 
equity
 
COMPANY 
Balance at 30 June 2022  4 314  (97) 137  (743) 3 611 
Profit for the year  789  789 
Dividends paid  (780) (780)
Share incentive transactions (including vesting settlement) 11  24  35 
Balance at 30 June 2023  4 314  (97) 148  (710) 3 655 
Profit for the year  639  639 
Dividends paid  (634) (634)
Share incentive transactions (including vesting settlement) (14) 16  19  21 
Balance at 30 June 2024  4 314  (111) 164  (686) 3 681 
Note  24  6  6