ANNUAL REPORT 2010
IN THIS SECTION

Notes to the group annual financial statements

  1. ACCOUNTING POLICIES
  2. RISK MANAGEMENT
  3. CRITICAL ACCOUNTING ESTIMATES AND JUDGEMENTS
  4. SEGMENT INFORMATION
  5. PROPERTY, PLANT AND EQUIPMENT
  6. INTANGIBLE ASSETS
  7. INVESTMENT IN ASSOCIATES
  8. INTERESTS IN JOINT VENTURES
  9. LOANS AND RECEIVABLES
  10. RETIREMENT BENEFIT OBLIGATIONS AND POST-RETIREMENT MEDICAL AID SURPLUS
  11. DEFERRED INCOME TAX
  12. INVENTORIES
  13. TRADE AND OTHER RECEIVABLES
  14. CASH AND CASH EQUIVALENTS
  15. SHARE CAPITAL
  16. SHARE PREMIUM
  17. OTHER RESERVES
  18. INTEREST BEARING BORROWINGS
  19. PREFERENCE SHARES
  20. OPERATING LEASE LIABILITY
  21. TRADE AND OTHER PAYABLES
  22. PROVISIONS
  23. SHAREHOLDERS’ LOANS
  24. DERIVATIVE FINANCIAL INSTRUMENTS
  25. FINANCIAL INSTRUMENTS BY CATEGORY
  26. REVENUE
  27. OTHER INCOME
  28. PROFIT BEFORE TAX
  29. EMPLOYEE BENEFITS EXPENSE
  30. FINANCE INCOME AND COST
  31. TAX EXPENSE
  32. EARNINGS PER SHARE
  33. DIVIDENDS PER SHARE
  34. CASH GENERATED FROM OPERATIONS
  35. PROCEEDS ON DISPOSAL OF PROPERTY, PLANT AND EQUIPMENT
  36. ORDINARY SHARES REPURCHASED
  37. ACQUISITION AND DISPOSAL OF INVESTMENTS
  38. DIRECTORS’ EMOLUMENTS
  39. RELATED PARTIES
  40. COMMITMENTS AND CONTINGENCIES
  41. EVENTS AFTER THE REPORTING PERIOD