| Notes to the consolidated annual financial statements l Note 17 |
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2014
Rm |
2013
Rm |
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| 17. |
Trade and other payables |
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Trade and other payables |
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10 553 |
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11 248 |
10 860 |
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Fair value of derivatives |
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20 |
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15 |
15 |
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Total group |
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10 573 |
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11 263 |
10 875 |
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Amounts classified as held for sale |
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(42) |
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(95) |
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Total per statement of financial position |
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10 531 |
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11 263 |
10 780 |
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Per category: |
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Financial liabilities at fair value through profit or loss |
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– Designated as such at initial recognition |
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8 |
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Financial liabilities measured at amortised cost |
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8 726 |
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9 131 |
8 574 |
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Derivatives designated as effective hedging instruments |
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20 |
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15 |
5 |
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Other non-financial liabilities |
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1 827 |
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2 117 |
2 288 |
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10 573 |
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11 263 |
10 875 |
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Amounts classified as held for sale |
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(42) |
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(95) |
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Total per statement of financial position |
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10 531 |
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11 263 |
10 780 |
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Refer note 9 for details of inventory pledged as security for payable |
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| Notes to the consolidated annual financial statements l Note 17 |
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