Notes to the financial statements

FOR THE SIX MONTHS ENDED 30 JUNE 2013

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  1. ACCOUNTING POLICIES AND PRESENTATION OF ANNUAL FINANCIAL STATEMENTS
  2. INVESTMENT PROPERTY
  3. BUILDING APPURTENANCES AND TENANT INSTALLATIONS
  4. FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT AND LOSS
  5. SUBSIDIARIES
  6. JOINT OPERATIONS
  7. JOINT VENTURE - ATTERBURY AFRICA
  8. INVESTMENTS IN ASSOCIATES
  9. GOODWILL
  10. LOAN RECEIVABLE
  11. TRADE AND OTHER RECEIVABLES
  12. CASH AND CASH EQUIVALENTS
  13. NON-CURRENT ASSETS CLASSIFIED AS HELD-FOR-SALE
  14. SHARE CAPITAL
  15. FOREIGN CURRENCY TRANSLATION RESERVE
  16. NON-DISTRIBUTABLE RESERVES
  17. DEBENTURES AND DEBENTURE PREMIUM
  18. INTEREST-BEARING BORROWINGS
  19. DERIVATIVE INSTRUMENTS
  20. DEFERRED TAXATION
  21. TRADE AND OTHER PAYABLES
  22. INTEREST RECEIVED
  23. INTEREST PAID
  24. NET OPERATING INCOME
  25. AUDITOR'S REMUNERATION
  26. INCENTIVE SCHEME
  27. TAXATION
  28. EARNINGS, HEADLINE EARNINGS AND DISTRIBUTABLE EARNINGS PER COMBINED UNIT
  29. NOTES TO THE CASH FLOW STATEMENTS
  30. COMMITMENTS
  31. MINIMUM LEASE PAYMENTS RECEIVABLE
  32. RETIREMENT BENEFITS
  33. RELATED PARTIES AND RELATED PARTY TRANSACTIONS
  34. FINANCIAL RISK MANAGEMENT
  35. CAPITAL MANAGEMENT
  36. FAIR VALUE HIERARCHY AND FINANCIAL INSTRUMENTS BY CATEGORY
  37. CHANGES IN LEGISLATION SUBSEQUENT TO YEAR-END - CONVERSION TO A REIT