Consolidated statement of comprehensive income
for the six months ended 30 September 2021

   Unaudited 
30 September 
2021 
Rm
 
Unaudited  
30 September 
2020 
Rm 
Audited 
31 March 
2021 
Rm 
Profit/(loss) for the period     901  (272) 418 
Other comprehensive income (OCI) net of tax          
Items that will be reclassified to profit or loss:        
Foreign currency translation reserve     (35) 141  (61)
Associate     (2) (17)
Joint venture     —  —  (4)
Subsidiary     (33) 139  (40)
Cash flow hedges     51  (213) (96)
Items that have been reclassified to profit or loss:         
Realisation of OCI on disposal of equity-accounted associate     —  —  (328)
Other comprehensive income/(loss) for the period     16  (72) (485)
Total comprehensive income/(loss) for the period     917  (344) (67)
Attributable to owners of the parent     846  (271) 238 
Attributable to non-controlling interest     71  (73) (305)