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Consolidated statement of comprehensive income - GBP (£)
£ in Millions
12 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2019
Net remeasurement of post employment plans      
Group £ 16 £ 38 £ 33
Associates and joint ventures 3 (14) 2
Tax on post employment plans (46) (21) 1
Other comprehensive income that will not be reclassified to profit or loss, net of tax, Total (27) 3 36
Exchange differences on translation of foreign operations      
Group (1,233) (104) 274
Associates and joint ventures (240) 82 19
Non-controlling interests (173) (37) 55
Net investment hedges 810 (227) (93)
Exchange loss recycled to the income statement      
On translation of foreign operations 0 4 0
Tax on exchange differences – group (9) 4 (19)
Tax on exchange differences – non-controlling interests (1) 0 0
Effective portion of changes in fair value of cash flow hedges      
- effective portion of changes in fair value of cash flow hedges, associates and joint ventures (1) 6 (6)
Tax on effective portion of changes in fair value of cash flow hedges (6) (23) (11)
Hyperinflation adjustment (17) (18) (22)
Tax on hyperinflation adjustment 5 4 6
Other comprehensive income that may be reclassified to profit or loss, net of tax, Total (838) (167) 251
Other comprehensive (loss)/profit, net of tax, for the year (865) (164) 287
Profit for the year 2,799 1,454 3,337
Total comprehensive (loss)/income for the year 1,934 1,290 3,624
Attributable to:      
Equity shareholders of the parent company 1,969 1,282 3,392
Non-controlling interests (35) 8 232
Foreign currency debt risk      
Effective portion of changes in fair value of cash flow hedges      
- effective portion of changes in fair value of cash flow hedges, group (298) 221 180
– recycled to income statement 175 (75) (82)
Transaction exposure hedging risk      
Effective portion of changes in fair value of cash flow hedges      
- effective portion of changes in fair value of cash flow hedges, group 101 (43) (86)
– recycled to income statement 10 42 45
Commodity price risk hedging      
Effective portion of changes in fair value of cash flow hedges      
- effective portion of changes in fair value of cash flow hedges, group 41 (11) (9)
– recycled to income statement £ (2) £ 8 £ 0