CSL Ltd Annual Report 2021
Note 22: Parent Entity Information Information relating to CSL Limited (‘the parent entity’) (a) Summary financial information 2021 US$m 2020 US$m The individual financial statements for the parent entity show the following aggregate amounts: Current assets 373.6 310.6 Total assets 6,333.1 6,272.1 Current liabilities 342.5 323.7 Total liabilities 4,038.3 3,181.0 Contributed equity (3,959.2) (4,014.9) Foreign currency translation reserve (600.4) (600.4) Retained earnings 6,854.4 7,706.4 Net assets/Total equity 2,294.8 3,091.1 Profit for the year 106.1 93.1 Total comprehensive income 106.1 117.9 (b) Guarantees entered into by the parent entity The parent entity provides certain financial guarantees in the ordinary course of business. No liability has been recognised in relation to these guarantees as the fair value of the guarantees is immaterial. These guarantees are mainly related to all external debt facilities of the Group. In addition, the parent entity provides letters of comfort to indicate support for certain controlled entities to the amount necessary to enable those entities to meet their obligations as and when they fall due, subject to certain conditions (including that the entity remains a controlled entity). (c) Contingent liabilities of the parent entity The parent entity did not have any material contingent liabilities as at 30 June 2021 or 30 June 2020. For information about guarantees given by the parent entity, please refer above and to Note 21. (d) Contractual commitments for the acquisition of property, plant or equipment The parent entity did not have any material contractual commitments for the acquisition of property, plant and equipment as at 30 June 2021 or 30 June 2020. Note 23: Subsequent Events Other than as disclosed elsewhere in these statements, there are no matters or circumstances which have arisen since the end of the financial year which have significantly affected or may significantly affect the operations of the Group, results of those operations or the state of affairs of the Group in subsequent financial years. CSL Limited Annual Report 2020/21 146 Notes to the Financial Statements
Made with FlippingBook
RkJQdWJsaXNoZXIy MjE2NDg3