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Unaudited Condensed Consolidated Statement of Changes in Equity - GBP (£)
£ in Millions
Total
Equity attributable to parent company shareholders
Share capital
Share premium
Other reserves
Total retained earnings
Own shares
Other retained earnings
Non-controlling interests
Beginning balance at Jun. 30, 2021 £ 8,431 £ 6,897 £ 741 £ 1,351 £ 1,621 £ 3,184 £ (1,877) £ 5,061 £ 1,534
Profit for the period 2,088 1,965       1,965   1,965 123
Other comprehensive (loss)/income 430 384     (74) 458   458 46
Total comprehensive (loss)/income for the period 2,518 2,349     (74) 2,423   2,423 169
Employee share schemes 66 66       66 30 36  
Share-based incentive plans 30 30       30   30  
Share-based incentive plans in respect of associates 2 2       2   2  
Share-based payments and purchase of own shares in respect of subsidiaries (13) (8)       (8)   (8) (5)
Associates' transactions with non-controlling interests 1 1       1   1  
Unclaimed dividend 4 3       3   3 1
Change in fair value of put option (11) (11)       (11)   (11)  
Share buyback programme (631) (631) (4)   4 (631)   (631)  
Dividend declared for the period (1,066) (1,040)       (1,040)   (1,040) (26)
Ending balance at Dec. 31, 2021 9,331 7,658 737 1,351 1,551 4,019 (1,847) 5,866 1,673
Beginning balance at Jun. 30, 2022 9,514 7,798 723 1,351 2,174 3,550 (1,838) 5,388 1,716
Profit for the period 2,407 2,295       2,295   2,295 112
Other comprehensive (loss)/income (323) (284)     15 (299)   (299) (39)
Total comprehensive (loss)/income for the period 2,084 2,011     15 1,996   1,996 73
Employee share schemes 32 32       32 17 15  
Share-based incentive plans 27 27       27   27  
Share-based incentive plans in respect of associates 3 3       3   3  
Share-based payments and purchase of own shares in respect of subsidiaries 2 1       1   1 1
Associates' transactions with non-controlling interests (12) (12)       (12)   (12)  
Unclaimed dividend 1 1       1   1  
Change in fair value of put option (4) (4)       (4)   (4)  
Share buyback programme (652) (652) (4)   4 (652)   (652)  
Dividend declared for the period (1,129) (1,066)       (1,066)   (1,066) (63)
Ending balance at Dec. 31, 2022 £ 9,866 £ 8,139 £ 719 £ 1,351 £ 2,193 £ 3,876 £ (1,821) £ 5,697 £ 1,727