Group statement of changes in equity

for the year ended 31 August

  Share  
capital  
Rm  
Share  
premium  
Rm  
Treasury  
shares  
Rm  
Non-  
distribu-  
table  
and other  
reserves  
Rm  
 Retained  
earnings  
Rm  
Share-  
holders  
for  
dividend  
Rm  
Minority  
share-  
holders'  
 interest   
Total  
Rm  
Balance at 31 August 2007   9   2 109   (255)  226   2 859   100     5 048  
Profit attributable to shareholders           514       514  
Distribution to shareholders           (264)  264     —  
Distribution to share incentive trust           13   (13)    —  
Paid to shareholders
– 10 December 2007  
          (102)    (102) 
Paid to share incentive trust
– 10 December 2007  
          4     4  
Paid to shareholders
– 30 June 2008  
          (194)    (194) 
Paid to share incentive trust
– 30 June 2008  
          8     8  
Shares purchased by JD Group Limited and cancelled     (339)            (339) 
Purchase of treasury shares by share incentive trust       (188)          (188) 
Proceeds on disposal of treasury shares by share incentive trust       4           4  
Loss on disposal of treasury shares included in attributable profit       4           4  
Share-based payment         32         32  
Transfer to retained earnings of vested share options         (35)  35       —  
Translation of foreign entities         22         22  
Balance at 31 August 2008   9   1 770   (435)  245   3 157   67   —   4 813  
Profit attributable to shareholders           75     5   80  
Arising on acquisition of subsidiary companies               25   25  
Distribution to shareholders           (70)  70     —  
Distribution to share incentive trust           3   (3)    —  
Paid to shareholders
– 15 December 2008  
          (70)    (70) 
Paid to share incentive trust
– 15 December 2008  
          3     3  
Paid to minority shareholders               (1)  (1) 
Funding received from minority shareholders               2   2  
Proceeds on disposal of treasury shares by share incentive trust       16           16  
Loss on disposal of treasury shares included in attributable profit       8           8  
Share-based payment         24         24  
Transfer to retained earnings of vested share options         (69)  69       —  
Transfer to statutory reserve         4   (4)      —  
Translation of foreign entities         (38)        (38) 
Balance at 31 August 2009   9   1 770   (411)  166   3 230   67   31   4 862