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Statement of changes in equity - ZAR (R)
R in Millions
Shareholders' equity
Share capital
Share-based payment reserve
Investment fair value reserve
Foreign currency translation reserve
Cash flow hedge accounting reserve
Remeasurements on post-retirement benefit obligations
Retained earnings
Non-controlling interests in subsidiaries
Total
Balance at beginning of year (Previously reported) at Jun. 30, 2018 R 222,985 R 15,775 R (4,021) R 43 R 28,500 R 180 R (1,844) R 184,352 R 5,623 R 228,608
Balance at beginning of year (Revision) at Jun. 30, 2018 (1,777)             (1,777)   (1,777)
Balance at beginning of year at Jun. 30, 2018 221,208 15,775 (4,021) 43 28,500 180 (1,844) 182,575 5,623 226,831
Disposal of business (52)       (52)         (52)
Movement in share-based payment reserve 1,552   1,552             1,552
Share-based payment expense 707   707             707
Sasol Khanyisa transaction 952   952             952
Deferred tax (107)   (107)             (107)
Unwind of share-based transaction (1,372) (5,887) 3,452         1,063   (1,372)
Repurchase of shares   (5,887) 5,887              
Final distribution to Sasol Inzalo Public (1,372)             (1,372)   (1,372)
Shares-based payment reserve to retained earnings     (2,435)         2,435    
Long-term incentives vested and settled     (573)         573    
Total comprehensive (loss)/income for the year | Previously reported                   7,162
Total comprehensive (loss)/income for the year | Revision                   (909)
Total comprehensive (loss)/income for the year 4,468     89 1,530 (180) (360) 3,389 1,785 6,253
Profit/(loss) | Previously reported                   6,074
Profit/(loss) | Revision                   (909)
Profit/(loss) 3,389             3,389 1,776 5,165
other comprehensive income/(loss) for the year 1,079     89 1,530 (180) (360)   9 1,088
Dividends paid (8,580)             (8,580) (1,523) (10,103)
Balance at end of year (Previously reported) at Jun. 30, 2019                   225,795
Balance at end of year (Revision) at Jun. 30, 2019                   (2,686)
Balance at end of year at Jun. 30, 2019 217,224 9,888 410 132 29,978   (2,204) 179,020 5,885 223,109
Adjustment on initial application of IFRS 16, net of tax at Jun. 30, 2019 (290)             (290)   (290)
Revised balance at beginning of year at Jun. 30, 2019 216,934 9,888 410 132 29,978   (2,204) 178,730 5,885 222,819
Movement in share-based payment reserve 1,938   1,938             1,938
Share-based payment expense 878   878             878
Sasol Khanyisa transaction 1,068   1,068             1,068
Deferred tax (8)   (8)             (8)
Long-term incentives vested and settled     (614)         614    
Total comprehensive (loss)/income for the year | Previously reported                   (67,354)
Total comprehensive (loss)/income for the year | Revision                   (645)
Total comprehensive (loss)/income for the year (67,865)     (83) 25,871 (1,771) (128) (91,754) (134) (67,999)
Profit/(loss) | Previously reported                   (91,272)
Profit/(loss) | Revision                   (645)
Profit/(loss) (91,754)             (91,754) (163) (91,917)
other comprehensive income/(loss) for the year 23,889     (83) 25,871 (1,771) (128)   29 23,918
Dividends paid (31)             (31) (810) (841)
Balance at end of year (Previously reported) at Jun. 30, 2020                   159,248
Balance at end of year (Revision) at Jun. 30, 2020                   (3,331)
Balance at end of year at Jun. 30, 2020 150,976 9,888 1,734 49 55,849 (1,771) (2,332) 87,559 4,941 155,917
Liquidation of businesses 148             148   148
Taxation impact on disposal of investment 44             44   44
Movement in share-based payment reserve 1,945   1,945             1,945
Share-based payment expense 1,927   1,927             1,927
Deferred tax 18   18             18
Long-term incentives vested and settled     (890)         890    
Sasol Khanyisa Tier 1 transaction vested and settled     (1,889)         1,889    
Total comprehensive (loss)/income for the year (6,578)     (10) (17,097) 864 633 9,032 1,487 (5,091)
Profit/(loss) 9,032             9,032 1,500 10,532
other comprehensive income/(loss) for the year (15,610)     (10) (17,097) 864 633   (13) (15,623)
Dividends paid (46)             (46) (446) (492)
Balance at end of year at Jun. 30, 2021 R 146,489 R 9,888 R 900 R 39 R 38,752 R (907) R (1,699) R 99,516 R 5,982 R 152,471