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Notes to the Group financial statements

for the year ended 31 December 2011

1. PRINCIPAL ACCOUNTING POLICIES
2. CRITICAL ACCOUNTING ESTIMATES AND ASSUMPTIONS
3. OPERATING SEGMENTS
4. REVENUE
5. OTHER INCOME
6. OPERATING PROFIT
7. FINANCE INCOME AND FINANCE COSTS
8. INCOME TAX EXPENSE
9. EARNINGS PER SHARE
10. DIVIDENDS PER SHARE
11. PROPERTY, PLANT AND EQUIPMENT
12. INTANGIBLE ASSETS AND GOODWILL
13. INVESTMENT IN ASSOCIATES
14. LOANS AND OTHER NON-CURRENT RECEIVABLES
15. DEFERRED TAXES
16. INVENTORIES
17. TRADE AND OTHER RECEIVABLES
18. CURRENT INVESTMENTS
19. NON-CURRENT ASSETS HELD FOR SALE
20. ORDINARY SHARES AND SHARE PREMIUM
21. OTHER RESERVES
22. BORROWINGS
23. OTHER NON-CURRENT LIABILITIES
24. PUT OPTION LIABILITIES
25. TRADE AND OTHER PAYABLES
26. PROVISIONS
27. CASH GENERATED FROM OPERATIONS
28. INCOME TAX PAID
29. CASH AND CASH EQUIVALENTS
30. RESTRICTED CASH
31. UNDERWRITING ACTIVITIES
32. CONTINGENT LIABILITIES
33. COMMERCIAL COMMITMENTS
34. CAPITAL COMMITMENTS
35. OPERATING LEASE COMMITMENTS
36. FINANCE LEASE COMMITMENTS
37. OTHER COMMITMENTS
38. INVESTMENT IN JOINT VENTURES
39. EXCHANGE RATES TO SOUTH AFRICAN RAND USED FOR THE PURPOSES OF FOREIGN CURRENCY TRANSLATIONS
40. FOREIGN EXCHANGE EXPOSURE
41. DERIVATIVES
42. EVENTS AFTER THE REPORTING PERIOD
43. RELATED PARTIES
44. CHANGES IN SHAREHOLDING
45. CASH FLOWS RELATING TO BUSINESS COMBINATIONS AND CHANGES IN SHAREHOLDINGS
46. FINANCIAL RISK MANAGEMENT AND FINANCIAL INSTRUMENTS
47. SHARE-BASED PAYMENTS