Notes to the group financial statements
for the year ended 31 March 2006  
 
 
 
    2006 
Rm 
2005 
Rm 
22. Net asset value per share    
  Total equity as per balance sheet 1 613  2 097 
  Adjustment for policyholder investments accounted for as treasury
shares and deducted from equity under IFRS
184  161 
  Adjusted total equity 1 797  2 258 
  Number of shares in issue 443  394 
  Adjustment for policyholder investments accounted for as treasury  
shares and deducted from  equity under IFRS
19  15 
  Adjusted number of shares in issue 462  409 
  Net asset value per share (cents) 364  532 
  Adjustment for policyholder investments accounted for as treasury
shares and deducted from equity under IFRS
25  20 
  Adjusted net asset value per share (cents) 389  552 
 
 
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