Financial statements
Changes in Equity for the year ended 30 June
ISSUED SHARE CAPITAL $M
NON- CONTROLLING INTERESTS $M
TREASURY SHARES $M
HEDGE RESERVES $M
OTHER RESERVES $M
RETAINED EARNINGS $M
TOTAL EQUITY $M
NOTE
Balance at 30 June 2021
880.0
(0.2)
(34.8)
0.7 1,474.0
15.7 2,335.4 2.0 160.9
Net profit/(loss) for the period Other comprehensive income Total comprehensive income
– – – –
– – – –
–
–
158.9
93.5 93.5
9.4
–
–
102.9
9.4 158.9
2.0 263.8
Dividends
–
–
(167.5)
(1.6)
(169.1)
Employee share purchase scheme transactions Total transactions with owners Balance at 30 June 2022 Net profit/(loss) for the period Other comprehensive income Total comprehensive income
–
0.1
–
(0.1)
–
–
–
–
0.1
–
(0.1)
(167.5)
(1.6)
(169.1)
880.0
(0.1)
58.7
10.0 1,465.4
16.1 2,430.1 1.5 1,715.8
– – – –
– – – –
–
– 1,714.3
(3.0) (3.0)
(15.0) (15.0)
–
–
(18.0)
1,714.3
1.5 1,697.8
–
–
(167.5)
(2.4)
(169.9)
Dividends
3
Total transactions with owners Balance at 30 June 2023
–
–
–
–
(167.5)
(2.4)
(169.9)
880.0
(0.1)
55.7
(5.0)
3,012.2
15.2 3,958.0
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