Consolidated statement of comprehensive income
for the year ended 31 March 2021

 

31 March 
2021 
Rm
 
31 March 
2020 
Rm 
Profit/(loss) for the period  418  (39)
Other comprehensive income (OCI) net of tax
Items that will be reclassified to profit or loss: 
Foreign currency translation reserve  (61) 458 
Associate  (17) 181 
Joint venture  (4) – 
Subsidiary  (40) 277 
Cash flow hedges  (96) (22)
Items that have been reclassified to profit or loss: 
Realisation of OCI on disposal of equity-accounted associate  (328)  
Other comprehensive (loss)/profit for the period  (485) 436 
Total comprehensive (loss)/income for the year  (67) 397 
Attributable to owners of the parent  238 
Attributable to non-controlling interest  (305) 389