Consolidated statement of changes in equity for the year ended 30 June

2022 
R'000 
2021 
R'000 
Equity attributable to shareholders of the Company  28 366 633  25 537 831 
Share capital  17 014  17 014 
Share premium  1 367 796  1 367 796 
Foreign currency translation reserve  21 376  (166 446)
Balance at beginning of the year  (166 446) 400 927 
Movement during the year  181 177  (620 327)
Realisation of reserve on disposal of subsidiaries  6 645  52 954 
Hedging reserve  (154 006) (38 619)
Balance at beginning of the year  (38 619) (65 284)
Fair value profit (loss) arising during the year  (133 427) 37 035 
Taxation recognised directly in reserve  18 040  (10 370)
Equity-settled share-based payment reserve  332 121  (326 401)
Balance at beginning of year  (326 401) (437 247)
Arising during current year  274 529  215 848 
Taxation recognised directly in reserve  (1 885) 23 362 
Utilisation during the year  (215 104) (130 097)
Realisation of reserve on disposal of subsidiaries  –  1 733 
Transfer of equity-settled share-based payment reserve as a result of changes in shareholding of subsidiaries  (2 609) – 
Transfer to retained earnings  603 591  – 
Movement in retained earnings  26 103 669  24 005 009 
Balance at beginning of the year  24 005 009  21 211 095 
Attributable profit (loss) 5 071 735  3 844 722 
Changes in the fair value of financial assets recognised through other comprehensive income  2 570  1 862 
Net remeasurement of defined benefit obligations during the year  (6 867) 12 297 
Net dividends paid  (2 345 225) (985 675)
Net remeasurement of puttable non-controlling interest liabilities  (22 122) – 
   Transfer of reserves as a result of changes in shareholding of subsidiaries     2 160  (79 292)
Transfer from equity-settled share-based payment reserve  (603 591) – 
Treasury shares  678 663  679 478 
Balance at beginning of the year  679 478  664 746 
Purchase of shares     (211 779) (111 975)
Shares disposed of in terms of share incentive scheme  210 964  126 707 
Equity attributable to non-controlling interests of the Company  3 508 709  3 252 935 
Balance at beginning of the year     3 252 935  3 481 856 
Total comprehensive income  393 261  242 497 
Attributable profit     375 572  277 995 
Movement in foreign currency translation reserve  9 358  (27 167)
Movement in cash flow hedge fund     7 242  (8 169)
   Changes in the fair value of financial assets recognised through other comprehensive income  264  41 
Net remeasurement of defined benefit obligations during the year     825  (203)
Dividends paid  (150 310) (80 024)
Movement in equity-settled share-based payment reserve  13 931  7 391 
Transfer of equity-settled share-based payment reserve as a result of changes in shareholding of subsidiaries     2 609  – 
Transactions with non-controlling interests     (1 557) (478 077)
   Transfer of reserves as a result of changes in shareholding of subsidiaries  (2 160) 79 292 
Total equity  31 875 342  28 790 766