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Consolidated statement of changes in equity - GBP (£)
£ in Millions
Total
Equity attributable to parent company shareholder
Share capital
Share premium
Capital redemption reserve
Hedging and exchange reserve
Total
Own shares
Other retained earnings
Non-controlling interests
IFRS 15
IFRS 15
Equity attributable to parent company shareholder
IFRS 15
Total
IFRS 15
Other retained earnings
IFRS 15
Non-controlling interests
IFRS 9
IFRS 9
Hedging and exchange reserve
IFRS 9
Total
IFRS 9
Other retained earnings
Beginning balance at Jun. 30, 2017 £ 12,028 £ 10,313 £ 797 £ 1,348 £ 3,146 £ (453) £ 5,475 £ (2,176) £ 7,651 £ 1,715                  
Adoption of IFRS 15                     £ (91) £ (89) £ (89) £ (89) £ (2)        
Adoption of IFRS 9 by associate                               £ 0 £ (3) £ 3 £ 3
Profit for the year 3,144 3,022         3,022   3,022 122                  
Other comprehensive (loss)/income (276) (207)       (574) 367   367 (69)                  
Total comprehensive income for the year 2,868 2,815       (574) 3,389   3,389 53                  
Employee share schemes 25 25         25 32 (7)                    
Share-based incentive plans 39 39         39   39                    
Share-based incentive plans in respect of associates 4 4         4   4                    
Tax on share-based incentive plans (2) (2)         (2)   (2)                    
Shares issued 1 1   1                              
Purchase of non-controlling interests (2) (72)         (72)   (72) 70                  
Disposal of non-controlling interests (1)                 (1)                  
Purchase of right issue of non-controlling interests 26 (5)         (5)   (5) 31                  
Change in fair value of put option 7 7         7   7                    
Share buyback programme (1,507) (1,507) (17)   17   (1,507)   (1,507)                    
Dividends paid (1,682) (1,581)         (1,581)   (1,581) (101)                  
Ending balance at Jun. 30, 2018 11,713 9,948 780 1,349 3,163 (1,030) 5,686 (2,144) 7,830 1,765                  
Profit for the year 3,337 3,160         3,160   3,160 177                  
Other comprehensive (loss)/income 287 232       212 20   20 55                  
Total comprehensive income for the year 3,624 3,392       212 3,180   3,180 232                  
Employee share schemes 69 69         69 118 (49)                    
Share-based incentive plans 49 49         49   49                    
Share-based incentive plans in respect of associates 3 3         3   3                    
Tax on share-based incentive plans 20 20         20   20                    
Shares issued 1 1   1                              
Purchase of non-controlling interests (784) (694)         (694)   (694) (90)                  
Non-controlling interest in respect of new subsidiary 2                 2                  
Change in fair value of put option (3) (3)         (3)   (3)                    
Share buyback programme (2,801) (2,801) (27)   27   (2,801)   (2,801)                    
Dividends paid (1,737) (1,623)         (1,623)   (1,623) (114)                  
Ending balance at Jun. 30, 2019 10,156 8,361 753 1,350 3,190 (818) 3,886 (2,026) 5,912 1,795                  
Profit for the year 1,454 1,409         1,409   1,409 45                  
Other comprehensive (loss)/income (164) (127)       (116) (11)   (11) (37)                  
Total comprehensive income for the year 1,290 1,282       (116) 1,398   1,398 8                  
Employee share schemes 54 54         54 90 (36)                    
Share-based incentive plans 2 2         2   2                    
Share-based incentive plans in respect of associates 4 4         4   4                    
Tax on share-based incentive plans 1 1         1   1                    
Share based payments and purchase of treasury shares in respect of subsidiaries (1) (1)         (1)   (1)                    
Shares issued 1 1   1                              
Transfers           5 (5)   (5)                    
Purchase of non-controlling interests (62) (39)         (39)   (39) (23)                  
Non-controlling interest in respect of new subsidiary 5                 5                  
Change in fair value of put option 9 9         9   9                    
Share buyback programme (1,256) (1,256) (11)   11   (1,256)   (1,256)                    
Dividends declared (1,763) (1,646)         (1,646)   (1,646) (117)                  
Ending balance at Jun. 30, 2020 £ 8,440 £ 6,772 £ 742 £ 1,351 £ 3,201 £ (929) £ 2,407 £ (1,936) £ 4,343 £ 1,668