CORPORATE DIRECTORY SHAREHOLDER INFORMATION CONTENTS FINANCIAL STATEMENTS YEAR IN REVIEW DIRECTORS’ REPORT Issued capital $’000 Reserves $’000 Retained earnings $’000 Total $’000 Balance as at 1 July 2022 133,091 13,310 9,225 155,626 Comprehensive income/(loss) Net loss for the year – – (8,610) (8,610) Other comprehensive income – – – – Total comprehensive income – – (8,610) (8,610) Transactions with owners Shares issued 23,219 (533) - 22,686 Share issue costs (1,001) – - (1,001) Share-based payments – 914 - 914 Total transactions with owners 22,218 381 - 22,599 Balance as at 30 June 2023 155,309 13,691 615 169,615 Issued capital $’000 Reserves $’000 Retained earnings/ (Accumulated losses) $’000 Total $’000 Balance as at 1 July 2021 133,091 12,150 (16,854) 128,387 Comprehensive income/(loss) Net profit for the year – – 26,079 26,079 Other comprehensive income – – – – Total comprehensive income – – 26,079 26,079 Transactions with owners Share-based payments – 1,160 – 1,160 Total transactions with owners – 1,160 – 1,160 Balance as at 30 June 2022 133,091 13,310 9,225 155,626 The consolidated statement of changes in equity should be read in conjunction with the accompanying notes. Consolidated Statement of Changes in Equity for the year ended 30 June 2023 35 Sheffield Resources Limited Annual Report 2023
RkJQdWJsaXNoZXIy MjE2NDg3