Audited results for the year ended June 30  2021

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Financial results

  • Continuing HEPS

    868,4 cents

    21,8%

    Constant currency, HEPS 13,6%

  • Cash generated by operations

    R7,7bn

  • Free cash flow (after lease payments)

    R4,7bn

    Absolute
    improvement of  R2,0bn

  • Group cash flow evolution:

    March 2020 – September 2021

Segmental results


                       

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