REA Group Ltd Annual Report 2021
REA Group Ltd | Annual Report 2021 Notes Contributed equity $’000 Reserves $’000 Retained earnings $’000 Parent interest $’000 Non- controlling interest $’000 Total equity $’000 Balance at 1 July 2020 92,050 67,805 704,262 864,117 376 864,493 Profit for the year – – 322,677 322,677 (9,694) 312,983 Other comprehensive income 13 – (32,810) – (32,810) – (32,810) Total comprehensive income for the year – (32,810) 322,677 289,867 (9,694) 280,173 Transactions with owners in their capacity as owners Share-based payment 17 – 9,097 – 9,097 – 9,097 Acquisition of treasury shares 13 (3,721) – – (3,721) – (3,721) Settlement of vested performance rights 13 3,734 (3,734) – – – – Issue of new shares 13 59,851 – – 59,851 – 59,851 Acquired minority interest 19 – – – – 81,336 81,336 Dividends paid 12 – – (150,392) (150,392) (247) (150,649) Change in non-controlling interest 226 – – 226 (1,595) (1,369) Balance at 30 June 2021 152,140 40,358 876,547 1,069,045 70,176 1,139,221 Balance at 1 July 2019 89,544 68,120 747,312 904,976 459 905,435 Profit for the year – – 112,373 112,373 212 112,585 Other comprehensive income 13 – (1,291) – (1,291) – (1,291) Total comprehensive income for the year – (1,291) 112,373 111,082 212 111,294 Transactions with owners in their capacity as owners Share-based payment 17 – 4,931 – 4,931 – 4,931 Acquisition of treasury shares 13 (344) – – (344) – (344) Settlement of vested performance rights 13 2,850 (3,955) – (1,105) – (1,105) Dividends paid 12 – – (155,423) (155,423) (295) (155,718) Balance at 30 June 2020 92,050 67,805 704,262 864,117 376 864,493 The Consolidated Statement of Changes in Equity should be read in conjunction with the accompanying notes. Consolidated Statement of Changes in Equity for the year ended 30 June 2021 66 Financial Statements
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