If you compare H2 2020 to H1 2021, all divisions* had profits move in the positivie direction. Even wealth grew positive and the group office trimmed their losses. H1 20 to H1 21 looks dicey but given the last year understandable.
*excluding resolution as AMP no longer has controlling interest.
I am interested in Capital, I thought Infra/Debt/Real Estate would of been hit harder given the media attention but it looks like it was a 4bil hit (5bil from the dexus raid?)
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