31 March 2022 Rm |
31 March 2021 Rm |
|
Profit for the year | 1 992 | 418 |
---|---|---|
Other comprehensive income (OCI) net of tax | ||
Items that will not be reclassified to profit or loss: | ||
Equity investments designated at fair value through OCI | (156) | – |
Fair value adjustment on equity investments | (156) | – |
Items that will be reclassified to profit or loss: | ||
Foreign currency translation reserve | (675) | (61) |
Associate | (3) | (17) |
Joint venture | (3) | (4) |
Subsidiary | (669) | (40) |
Cash flow hedges | 153 | (96) |
Interest rate swaps | 151 | (96) |
Barrier option | 2 | – |
Items that have been reclassified to profit or loss: | ||
Realisation of OCI on disposal of equity-accounted associate (Atlantic Leaf) | – | (328) |
Other comprehensive loss for the year | (678) | (485) |
Total comprehensive income/(loss) for the year | 1 314 | (67) |
Attributable to owners of the parent | 1 264 | 238 |
Attributable to non-controlling interest | 50 | (305) |