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CASH FLOW – OTHER ITEMS (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Cash flow arising from changes in:    
Gain on non-hedge derivatives $ (7) $ (2)
Stock-based compensation expense 55 81
Loss (gain) on warrant investments at FVPL (4) 16
Change in estimate of rehabilitation costs at closed mines (136) 18
Inventory impairment charges (note 17) 66 13
Supplies obsolescence 48 21
Change in other assets and liabilities (28) (120)
Settlement of stock-based compensation (66) (97)
Settlement of rehabilitation obligations (145) (133)
Other operating activities (217) (203)
Cash flow arising from changes in:    
Accounts receivable 89 (46)
Inventory (219) (163)
Other current assets (261) (178)
Accounts payable 93 140
Other current liabilities (24) (26)
Change in working capital (322) (273)
Financing Cash Flows - Other Items    
Pueblo Viejo JV partner shareholder loan 177 131
GoT shareholder loan 0 (16)
Gain on debt extinguishment 14 0
Other financing activities $ 191 $ 115