June 2016   June 2015       June 2016
Rm   (Reviewed)   (Reviewed)   % change   (Reviewed)
                 
Profit for the period    377.4    306.6    23.1    1,169.2
                 
Items that will not subsequently be re-classified to the Income Statement:            5.0
Net post retirement medical aid actuarial profit            5.0
                 
Items that will subsequently be re-classified to the Income Statement:    (263.4)    (36.4)        (21.2)
Foreign currency translation reserve    (270.5)    (28.9)        (24.2)
Cash flow hedges – effective portion of changes in fair value    (29.4)    (8.7)        4.4
Fair value movement on available-for-sale financial assets    (1.4)    (2.2)        (3.5)
Income tax relating to components of other comprehensive income    37.9    3.4        2.1
                 
Total other comprehensive loss for the period, net of tax    (263.4)    (36.4)        (16.2)
                 
Total comprehensive income for the period    114.0    270.2    (57.8)    1,153.0
                 
Total comprehensive income attributable to:                
– Owners of the parent    92.9    245.2        1,096.6
– Non-controlling interests    21.1    25.0        56.4
Total comprehensive income for the period    114.0    270.2    (57.8)    1,153.0