Consolidated statement of other comprehensive incomefor the year ended 30 June
| 2022 R'000 |
2021 R'000 |
|||||
| Profit for the year | 5 447 307 | 4 122 717 | ||||
|---|---|---|---|---|---|---|
| Other comprehensive income (expense) net of taxation | ||||||
| Items that may be reclassified subsequently to profit or loss | 1 250 100 | (620 829) | ||||
| Increase (decrease) in foreign currency translation reserve | ||||||
| Exchange differences arising during the year | 190 535 | (647 494) | ||||
| (Decrease) increase in fair value of cash flow hedges | 1 059 565 | 26 665 | ||||
| Fair value gain arising during the year | 1 433 517 | 37 035 | ||||
| Taxation effect for the year | (373 953) | (10 370) | ||||
| Other comprehensive income transferred to profit or loss | (1 161 065) | 52 954 | ||||
| Realisation of exchange differences on disposal of subsidiaries Hedging gains reclassified | 6 645 | 52 954 | ||||
| Hedging gains reclassified | (1 556 946) | – | ||||
| Taxation effect | 389 237 | – | ||||
| Items that will not be reclassified subsequently to profit or loss | ||||||
| Changes in the fair value of financial assets recognised through other comprehensive income | 2 834 | 1 862 | ||||
| Defined benefit obligations | (6 042) | 12 094 | ||||
| Net remeasurement of defined benefit obligations during the year | (9 227) | 16 798 | ||||
| Taxation effect for the year | 3 185 | (4 704) | ||||
| Total comprehensive income for the year | 5 533 134 | 3 568 798 | ||||
| Attributable to | ||||||
| Shareholders of the Company | 5 139 873 | 3 326 301 | ||||
| Non-controlling interest | 393 261 | 242 497 | ||||
| 5 533 134 | 3 568 798 | |||||
