Consolidated statement of changes in equity
for the year ended 31 March

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  Attributable to equity holders of the Company
  Share
capital
R’000
Treasury
share
reserve
R’000
Retained
income
R’000
Common
control
reserve
R’000
Non-
distributable
reserve
R’000
Total
R’000
Balance at 1 April 2018 9 037 060 (9 995) 444 108 (1 106 013) 2 739 443 11 104 603
Total comprehensive income for the year (194 095) (194 095)
Dividend declared on 23 May 2018 (451 330)   (451 330)
Dividend declared on 21 November 2018 (237 123) (237 123)
Transfer to non-distributable reserves – investment properties 787 569 (787 569)
Transfer to non-distributable reserves – interest rate swaps (6 094) 6 094
Balance at 31 March 2019 9 037 060 (9 995) 343 035 (1 106 013) 1 957 968 10 222 055
Total comprehensive income for the year (1 988 171) (1 988 171)
Dividend declared on 23 May 2019 (369 124) (369 124)
Dividend paid 7 August 2019 relating to appraisal rights matter (10 663) (10 663)
Dividend declared on 20 November 2019 (204 458) (204 458)
Reinstatement of shareholding (appraisal rights matter) 24 129 24 129
Transfer to non-distributable reserves – investment properties 2 461 320 (2 461 320)
Transfer to non-distributable reserves – interest rate swaps 50 040 (50 040)
Balance at 31 March 2020 9 061 189 (9 995) 281 979 (1 106 013) (553 392) 7 673 768
Notes 10 10     11  

The notes form an integral part of these consolidated financial statements.