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Financial StatementsConsolidated statement of financial positionas at 31 March 2022

Group 31 March 
2022 
Rm
 
31 March
2021
Rm 
ASSETS 
Non-current assets  33 597  33 989 
  Investment property  30 535  32 073 
  Straight-line rental income accrual  326  341 
  Financial assets at fair value through profit or loss (FVTPL) 406  340 
  Equity investment at fair value through other comprehensive income (FVTOCI) 1 452  – 
  Investment in associate at fair value  –  538 
  Investment in associate (equity accounted) 120  16 
  Investment in joint venture (equity accounted) 48  55 
  Derivative financial instruments  260  168 
  Long-term loans granted  278  254 
  Deferred taxation assets  – 
  Other non-current assets  172  201 
Current assets  1 128  2 003 
  Trade and other receivables  309  391 
  Derivative financial instruments  40  47 
  Current taxation assets  12  – 
  Other current assets  15  – 
  Cash and cash equivalents  565  1 003 
  Non-current assets held for sale  187  562 
    Investment property  182  551 
    Other assets  10  11 
    Other liabilities  (5) – 
Total assets  34 725  35 992 
EQUITY AND LIABILITIES 
Equity attributable to owners of the parent  17 568  17 361 
  Stated capital  13 138  12 838 
  Other components of equity  2 529  3 153 
  Retained earnings  1 901  1 370 
Non-controlling interest  1 082  1 559 
Non-current liabilities  14 197  13 356 
  Interest-bearing borrowings  13 333  12 622 
  Lease liability  272  201 
  Share scheme liability  – 
  Derivative financial instruments  373  279 
  Deferred taxation liabilities  33  23 
  Other non-current liabilities  185  231 
Current liabilities  1 878  3 716 
  Trade and other payables  610  585 
  Short-term portion of interest-bearing borrowings  1 163  2 604 
  Short-term portion of lease liability  18  19 
  Derivative financial instruments  79  501 
  Current taxation liabilities 
  Shareholders for dividends 
Total equity and liabilities  34 725  35 992