Unaudited Unaudited Audited
  30 June 30 June 31 December
  2012 2011 2011
  R000 R000 R000
Profit for the period 640 973 313 488 596 724
Other comprehensive income      
Exchange differences on translating foreign operations 162 936 84 470 901 974
Cash flow hedges (3 375) 10 462 159 665
Total comprehensive income for the period 800 534 408 420 1 658 363
Total comprehensive income attributable to:      
  Owners of the parent 790 744 400 893 1 648 400
  Non-controlling interests 9 790 7 527 9 963
  800 534 408 420 1 658 363