| Jun 30, 2020 | Jun 30, 2021 | Jun 30, 2024 |
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| Profit for the year | - | - | 4,166 |
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| Taxation | - | - | 1,294 |
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| Share of after tax results of associates and joint ventures | - | - | 414 |
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| Net finance charges | - | - | -885 |
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| Non-operating items | - | - | -70 |
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| Operating profit | - | - | 6,001 |
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| Increase in inventories | - | - | -156 |
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| (Increase)/decrease in trade and other receivables | - | - | -66 |
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| (Decrease)/increase in trade and other payables and provisions | - | - | -546 |
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| Net increase in working capital | - | - | 768 |
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| Depreciation, amortisation and impairment | - | - | 493 |
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| Dividends received | - | - | 269 |
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| Post-employment payments less amounts included in operating profit | - | - | -18 |
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| Other items | - | - | 88 |
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| Adjustments to reconcile profit (loss), Total | - | - | 832 |
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| Cash generated from operations | - | - | 6,065 |
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| Interest received | - | - | 156 |
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| Interest paid | - | - | 1,017 |
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| Taxation paid | - | - | 1,099 |
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| Interest and income taxes paid (received), classified as operating activities | - | - | 1,960 |
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| Net cash inflow from operating activities | - | - | 4,105 |
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| Disposal of property, plant and equipment and computer software | - | - | 14 |
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| Purchase of property, plant and equipment and computer software | - | - | 1,510 |
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| Movements in loans and other investments | - | - | -47 |
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| Sale of businesses and brands | - | - | 87 |
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| Acquisition of subsidiaries | - | - | 6 |
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| Investments in associates and joint ventures | - | - | 133 |
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| Net cash outflow from investing activities | - | - | -1,595 |
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| Share buyback programme | - | - | 987 |
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| Net sale of own shares for share schemes | - | - | -21 |
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| Purchase of treasury shares in respect of subsidiaries | - | - | 10 |
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| Dividends paid to non-controlling interests | - | - | 117 |
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| Proceeds from bonds | - | - | 2,225 |
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| Repayment of bonds | - | - | 1,667 |
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| Purchase of shares of non-controlling interests | - | - | 223 |
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| Proceeds from current borrowings | - | - | 387 |
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| Cash outflow from other borrowings | - | - | 493 |
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| Equity dividends paid | - | - | 2,242 |
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| Net cash outflow from financing activities | - | - | -3,106 |
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| Net decrease in net cash and cash equivalents | - | - | -596 |
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| Exchange differences | - | - | -33 |
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