2022 PPS INTEGRATED REPORT

CONSOLIDATED STATEMENT OF FINANCIAL POSITION as at 31 December 2022 Group 2022 2021 Restated* 1 Jan 2021 Restated* Note R’m R’m R'm Assets Property and equipment 2 556 622 681 Investment property 3 327 371 460 Assets held for sale 4 – 60 – Intangible assets 5 264 244 235 Deferred tax 18 192 192 179 Financial assets – Investments at fair value through profit or loss 6 53 897 52 788 45 470 Reinsurance assets 7,13,14 118 165 43 Insurance and other receivables 8 1 666 1 410 999 Current income tax asset 8 262 151 Cash and cash equivalents 9 2 915 3 554 2 306 Total assets 59 943 59 668 50 524 Equity Accumulated funds 10 247 296 320 Revaluation Reserve 11 1 11 30 Equity attributable to Group 248 307 350 Non-controlling interest 12 – – (11) Total equity 248 307 339 Liabilities PPS Profit-Share Accounts and Long-term insurance policy liabilities 13 38 489 39 621 35 417 Short-term insurance policy liabilities 14 157 109 64 Investment contract liabilities 15 4 495 4 205 3 194 Liabilities to outside unit trust holders 16 15 086 13 347 10 121 Borrowings 17 – 98 152 Deferred tax 18 502 798 394 Retirement benefit obligations 19 5 5 6 Employee related obligations 20 341 312 263 Reinsurance liabilities 7,13,14 59 – 22 Insurance and other payables 21 523 581 473 Current income tax liabilities 38 285 79 Total liabilities 59 695 59 361 50 185 Total equity and liabilities 59 943 59 668 50 524 * Refer Note 35 101 Consolidated statement of financial position

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