NOTES TO THE GROUP ANNUAL FINANCIAL STATEMENTS

for the year ended 30 June 2014

1. Summary of accounting policies
2. Critical accounting estimates and assumptions
3. Financial risk management
4. Business combinations
5. Segment information
6. Plant and equipment
7. Investment property
8. Intangible assets
9. Financial instruments
10. Investment in associates
11. Investment in subsidiaries
12. Investment in preference shares
13. Interest-bearing loan
14. Deferred income tax
15. Trade and other receivables
16. Receivable from subsidiary
17. Inventory
18. Cash and cash equivalents
19. Issued share capital
20. Share premium
21. Non-controlling interest
22. Borrowings
23. Loans from Group companies
24. Provisions
25. Post-employment medical obligations
26. Accrual for straight-lining of leases
27. Trade and other payables
28. Employment benefit liability
29. Revenue
30. Profit before taxation
31. Net finance costs
32. Income tax expense
33. Earnings per share
34. Cash generated from operations
35. Taxation paid
36. Dividends
37. Share-based payments
38. Contingencies, commitments and guarantees
39. Related-party transactions
40. Pensions and other retirement obligations
41. Medscheme Provident Fund and Medscheme Employees Provident Fund
42. Subsequent events

 

 

 
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