NOTES TO THE ANNUAL FINANCIAL STATEMENTS

FOR THE YEAR ENDED 30 JUNE 2012

  1. ACCOUNTING POLICIES
  2. PROPERTY, PLANT AND EQUIPMENT
  3. INVESTMENT PROPERTIES
  4. GOODWILL
  5. OTHER INTANGIBLE ASSETS
  6. INVESTMENT ASSOCIATE COMPANIES
  7. OTHER INVESTMENTS
  8. INVENTORIES
  9. CONTRACTS-IN-PROGRESS AND CONTRACT RECEIVABLES
  10. TRADE AND OTHER RECEIVABLES
  11. NET CASH AND CASH EQUIVALENTS
  12. STATED CAPITAL (2011: SHARE CAPITAL AND SHARE PREMIUM)
  13. SHARE INCENTIVE SCHEMES
  14. HEDGING AND TRANSLATION RESERVES
  15. OTHER CAPITAL RESERVES
  16. NON-CONTROLLING INTERESTS
  17. SECURED LIABILITIES
  18. LONG TERM LOANS
  19. RETIREMENT AND OTHER BENEFIT PLANS
  20. LONG TERM PROVISIONS
  21. DEFERRED TAXATION
  22. SUBCONTRACTOR LIABILITIES
  23. TRADE AND OTHER PAYABLES
  24. SHORT TERM LOANS
  25. PROVISIONS FOR OBLIGATIONS
  26. REVENUE
  27 LOSS BEFORE INTEREST AND TAXATION
  28. INTEREST EXPENSE
  29. INTEREST INCOME
  30. TAXATION EXPENSE
  31. DISCONTINUED OPERATIONS, ASSETS AND LIABILITIES CLASSIFIED AS HELD-FOR-SALE
  32. LOSS AND HEADLINE LOSS PER SHARE
  33. CASH (UTILISED IN)/GENERATED FROM OPERATIONS
  34. TAXATION PAID
  35. ACQUISITION/DISPOSAL OF BUSINESSES
  36. NET MOVEMENT IN BORROWINGS
  37. JOINT VENTURES
  38. CONTINGENT LIABILITIES
  39. CAPITAL COMMITMENTS
  40. OPERATING LEASE ARRANGEMENTS
  41. FINANCIAL RISK MANAGEMENT
  42. RELATED PARTY TRANSACTIONS, DIRECTORS’ EMOLUMENTS AND INTEREST
  43. SUBSIDIARY COMPANIES
  44. EVENTS AFTER REPORTING DATE
  45. CRITICAL ACCOUNTING ESTIMATES AND JUDGEMENTS
  46. STANDARDS, INTERPRETATIONS AND AMENDMENTS TO PUBLISHED STANDARDS THAT ARE NOT YET EFFECTIVE
  47. DISCLOSURE UPDATE
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