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Statement of changes in equity - ZAR (R)
R in Millions
Shareholders' equity
Share capital
Share-based payment reserve
Foreign currency translation reserve
Other reserves
[1]
Remeasurements on post-retirement benefit obligations
Retained earnings
Non-controlling interests
Total
Balance at beginning of year at Jun. 30, 2022 R 188,623 R 9,888 R 1,314 R 37,753 R 4 R 413 R 139,251 R 4,574 R 193,197
Other movements 45     1   (17) 61 (37) 8
Movement in share-based payment reserve 933   933           933
Share-based payment expense 1,033   1,033           1,033
Deferred tax (100)   (100)           (100)
Long-term incentives vested and settled     (1,349)       1,349    
Total comprehensive (loss)/income for the year 21,057     11,932 16 310 8,799 516 21,573
Profit/(loss) 8,799           8,799 534 9,333
other comprehensive (loss)/income for the year 12,258     11,932 16 310   (18) 12,240
Dividends paid (13,754)           (13,754) (433) (14,187)
Balance at end of year at Jun. 30, 2023 196,904 9,888 898 49,686 20 706 135,706 4,620 201,524
Other movements (8)   1 (1) (25)   17 9 1
Movement in share-based payment reserve 865   865           865
Share-based payment expense 986   986           986
Deferred tax (121)   (121)           (121)
Long-term incentives vested and settled     (718)       718    
Total comprehensive (loss)/income for the year (47,123)     (2,971) 54 65 (44,271) 10 (47,113)
Profit/(loss) (44,271)           (44,271) 26 (44,245)
other comprehensive (loss)/income for the year (2,852)     (2,971) 54 65   (16) (2,868)
Dividends paid (7,633)           (7,633) (217) (7,850)
Balance at end of year at Jun. 30, 2024 143,005 9,888 1,046 46,714 49 771 84,537 4,422 147,427
Other movements (2)           (2)   (2)
Movement in share-based payment reserve 913   913           913
Share-based payment expense 914   914           914
Deferred tax (1)   (1)           (1)
Long-term incentives vested and settled     (691)       691    
Total comprehensive (loss)/income for the year 8,539     1,581 12 179 6,767 967 9,506
Profit/(loss) 6,767           6,767 959 7,726
other comprehensive (loss)/income for the year 1,772     1,581 12 179   8 1,780
Dividends paid (28)           (28) (205) (233)
Balance at end of year at Jun. 30, 2025 R 152,427 R 9,888 R 1,268 R 48,295 R 61 R 950 R 91,965 R 5,184 R 157,611
[1] Includes investment fair value and cash flow hedge reserves.