Currently viewing: Condensed Group statement of changes in equity | Next: Condensed Group statement of cash flows
Issued share capital and premium Unaudited R'000 |
Retained earnings Unaudited R'000 |
Other reserves Unaudited R'000 |
Total ordinary share- holders' equity Unaudited R'000 | Non- controlling interest Unaudited R'000 |
Total equity Unaudited R'000 |
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Balance as at 1 June 2024 | 7 562 077 | 331 045 | (2 883 438) | 5 009 684 | 102 456 | 5 112 140 | |||||
Profit for the period | — | 395 353 | — | 395 353 | 3 569 | 398 922 | |||||
Other comprehensive income | — | — | 353 | 353 | — | 353 | |||||
Total comprehensive income | — | 395 353 | 353 | 395 706 | 3 569 | 399 275 | |||||
Acquisition of treasury shares | (662) | — | — | (662) | — | (662) | |||||
Equity compensation benefit scheme shares vested | 32 987 | — | (31 467) | 1 520 | (1 520) | — | |||||
Equity compensation benefit movement | — | — | 17 389 | 17 389 | 1 028 | 18 417 | |||||
Dividends paid | — | — | — | — | (21 730) | (21 730) | |||||
Balance as at 30 November 2024 | 7 594 402 | 726 398 | (2 897 163) | 5 423 637 | 83 803 | 5 507 440 | |||||
Balance as at 1 June 2023 | 7 521 248 | (316 341) | (2 877 012) | 4 327 895 | 111 648 | 4 439 543 | |||||
Profit for the period | — | 406 423 | — | 406 423 | 6 764 | 413 187 | |||||
Other comprehensive loss | — | — | (6 631) | (6 631) | — | (6 631) | |||||
Total comprehensive income/(loss) | — | 406 423 | (6 631) | 399 792 | 6 764 | 406 556 | |||||
Sale of treasury shares | 207 | — | — | 207 | — | 207 | |||||
Equity compensation benefit scheme shares vested | 40 622 | — | (38 926) | 1 696 | (1 696) | — | |||||
Equity compensation benefit movement | — | — | 17 454 | 17 454 | 825 | 18 279 | |||||
Dividends paid | — | — | — | — | (14 999) | (14 999) | |||||
Balance as at 30 November 2023 | 7 562 077 | 90 082 | (2 905 115) | 4 747 044 | 102 542 | 4 849 586 | |||||