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ANNUAL REPORT 2009
Milestones in time
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Notes to the consolidated financial statements  
for the year ended 31 December 2009  
   
1.   ACCOUNTING POLICIES
2.   FINANCIAL RISK MANAGEMENT
3.   CAPITAL RISK MANAGEMENT
4.   FAIR VALUE ESTIMATION
5.   CRITICAL ACCOUNTING ESTIMATES AND JUDGEMENTS
6.   FINANCIAL INSTRUMENTS
7.   OTHER INCOME
8.   OTHER GAINS/(LOSSES) – NET
9.   OPERATING PROFIT
10.  NET FINANCE INCOME/(COSTS
11. TAXATION
12.  EARNINGS PER SHARE
13.  DIVIDENDS
14.  PROPERTY, PLANT AND EQUIPMENT
15.  INTANGIBLE ASSETS
16.  INVESTMENTS IN JOINTLY CONTROLLED ENTITIES
17.  INVESTMENTS IN ASSOCIATES
18.  DEFERRED TAXATION
19.  AVAILABLE-FOR-SALE FINANCIAL ASSETS
20.  INVENTORIES
21.  DEVELOPMENT LAND
22.  CONTRACT AND TRADE DEBTORS
 
23.  RECEIVABLES AND PREPAYMENTS
24.  CASH AND CASH EQUIVALENTS
25.  STATED CAPITAL
26.  MINORITY INTEREST
27.  INTEREST-BEARING BORROWINGS
28.  OTHER BORROWINGS
29.  PROVISIONS FOR OTHER LIABILITIES AND CHARGES
30.  TRADE AND OTHER PAYABLES
31.  CASH GENERATED BY OPERATING ACTIVITIES
32.  DIVIDENDS PAID
33.  TAXATION PAID
34.  GUARANTEES AND CONTINGENT LIABILITIES
35.  CAPITAL AND OPERATING LEASE COMMITMENTS
36.  EMPLOYEE BENEFITS
37.  SEGMENT REPORT
38.  RELATED PARTY TRANSACTIONS
39.  INVESTMENT IN JOINT VENTURES
40.  ASSOCIATES
41.  SCHEDULE OF GROUP COMPANIES
42.  BUSINESS COMBINATIONS
43.  DISPOSAL OF SUBSIDIARIES
 
   
 
 
 
 
       
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