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CASH FLOW – OTHER ITEMS (Details) - USD ($)
$ in Millions
3 Months Ended 6 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2024
Jun. 30, 2023
Cash flow arising from changes in:        
Gain on non-hedge derivatives $ 0 $ (1) $ 0 $ (2)
Loss on warrant investments at FVPL 1 3 3 5
Tanzania education program 0 0 0 30
Tax interest and penalties 61 0 61 0
Share-based compensation expense 5 6 18 25
Change in estimate of rehabilitation costs at closed mines (9) (13) (11) 9
Inventory impairment charges 8 1 22 10
Non-cash revenue recognized on Pueblo Viejo gold and silver streaming agreement (9) (7) (16) (17)
Change in other assets and liabilities (40) (13) (59) 20
Settlement of share-based compensation (7) 0 (46) (29)
Settlement of rehabilitation obligations (39) (39) (71) (77)
Other operating activities (29) (63) (99) (26)
Cash flow arising from changes in:        
Accounts receivable 42 (31) 81 (25)
Inventory 40 (3) 12 (75)
Value added taxes receivable (52) (53) (151) (94)
Other current assets (12) (8) (13) 29
Accounts payable 91 71 (50) (48)
Other current liabilities 3 (9) (8) (11)
Change in working capital 112 (33) (129) (224)
Income taxes payable settled against VAT receivables 12 28 29 56
Other duties and liabilities settled against VAT receivables $ 8 $ 73 $ 8 $ 98