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