CONSOLIDATED STATEMENT OF FINANCIAL POSITION
| Download (EXCEL) |
| Unaudited six months ended 31 December 2020 R'000 |
Restated* Unaudited six months ended 31 December 2019 R'000 |
Audited year ended 30 June 2020 R'000 |
||
| ASSETS | ||||
| Non-current assets | 3 821 293 | 3 462 682 | 3 539 167 | |
| Property and equipment | 326 761 | 218 655 | 210 583 | |
| Right of use asset | 200 136 | 252 627 | 234 980 | |
| Land and buildings | 330 395 | 263 311 | 261 374 | |
| Investment property | 15 418 | 15 418 | 15 418 | |
| Goodwill (NOTE 1 AND 3)* | 1 396 316 | 1 380 500 | 1 373 350 | |
| Intangible assets (NOTE 1 AND 3)* | 1 404 977 | 1 250 747 | 1 321 837 | |
| Other investments | 21 959 | – | 3 711 | |
| Investment in associates | 24 670 | 30 227 | 33 307 | |
| Deferred income tax assets | 100 661 | 51 197 | 84 607 | |
| Current assets | 1 235 064 | 1 159 081 | 1 007 999 | |
| Trade and other receivables | 516 082 | 559 514 | 504 335 | |
| Inventory | 391 950 | 331 448 | 297 851 | |
| Current tax asset | 29 512 | 54 078 | 28 133 | |
| Receivables from associates | – | 8 120 | – | |
| Cash and cash equivalents | 297 520 | 205 921 | 177 680 | |
| Total assets | 5 056 357 | 4 621 763 | 4 547 166 | |
| EQUITY AND LIABILITIES | ||||
| Capital and reserves | 2 255 083 | 2 166 171 | 2 216 604 | |
| Issued ordinary share capital | 18 892 | 18 885 | 18 885 | |
| Share premium | 1 084 696 | 1 080 301 | 1 080 301 | |
| Share-based payment reserve | 22 479 | 18 139 | 20 417 | |
| Treasury shares | (2 324) | (2 324) | (2 324) | |
| Capital contribution by non-controlling interest | 55 874 | 55 874 | 55 874 | |
| Foreign currrency translation reserve | (16 219) | (16 724) | (14 632) | |
| Distributable reserve | 1 091 685 | 1 012 020 | 1 058 083 | |
| Non-controlling interest | 927 747 | 837 506 | 902 491 | |
| Total equity | 3 182 830 | 3 003 677 | 3 119 095 | |
| Non-current liabilities | 961 694 | 811 382 | 705 492 | |
| Lease liability | 174 016 | 202 587 | 181 427 | |
| Deferred income tax liabilities | 268 593 | 231 616 | 246 809 | |
| Non-current provisions | 8 350 | 8 350 | 8 350 | |
| Post-employment medical obligations | 2 595 | 2 611 | 2 595 | |
| Borrowings (NOTE 2) | 508 140 | 366 218 | 266 311 | |
| Current liabilities | 911 833 | 806 704 | 722 579 | |
| Provisions | 7 258 | 6 356 | 8 374 | |
| Borrowings (NOTE 2) | 139 967 | 86 250 | 120 000 | |
| Trade and other payables | 565 423 | 534 040 | 361 488 | |
| Taxation | 25 447 | 25 682 | 33 086 | |
| Lease Liability | 73 249 | 90 126 | 96 855 | |
| Employment benefit provisions | 100 489 | 64 250 | 102 776 | |
| Total liabilities | 1 873 528 | 1 618 086 | 1 428 071 | |
| Total equity and liabilities | 5 056 357 | 4 621 763 | 4 547 166 |
| * | Please refer to note 3 for details of the restatement. |