PRELIMINARY PROFIT ANNOUNCEMENT,
REVIEWED GROUP RESULTS

FOR THE YEAR ENDED 30 JUNE 2016
AND DIVIDEND DECLARATION

Condensed Group statement of changes in equity
For the year ended 30 June 2016

  (Rand millions unless otherwise stated)  Stated  
capital  
Non-  
distri-
butable
reserves
Treasury  
shares  
Share  
option  
reserve  
Retained  
earning  
Total   Non-  
con-  
trolling  
interest  
Total  
equity  
  Balance at 30 June 2014   818   102   (472)  55   1 676   2 179   51   2 230  
  Profit for the year           700   700   31   731  
  Other comprehensive income for the year     18         18     18  
  Total comprehensive income for the year   –   18   –   –   700   718   31   749  
  Dividends paid           (204)  (204)  (8)  (212) 
  Subsidiary transactions     (31)      (9)  (40)    (40) 
  Transactions with non-controlling interests             –   (12)  (12) 
  Share incentive costs (including vesting settlement)      11   17   (9)  19     19  
  Balance at 30 June 2015   818   89   (461)  72   2 154   2 672   62   2 734  
  Profit for the year           813   813   38   851  
  Other comprehensive income for the year     33         33     33  
  Total comprehensive income for the year   –   33   –   –   813   846   38   884  
  Dividends paid           (252)  (252)  (27)  (279) 
  Transactions with non-controlling interests           (7)  (7)  (12)  (19) 
  Share incentive costs (including vesting settlement)      7   23   3   33     33  
  Balance at 30 June 2016   818   122   (454)  95   2 711   3 292   61   3 353