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CASH FLOW – OTHER ITEMS (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Cash flow arising from changes in:    
Gain on non-hedge derivatives $ (1) $ (7)
Stock-based compensation expense 66 55
Loss (gain) on warrant investments at FVPL 4 (4)
Tanzania education program 22 0
Change in estimate of rehabilitation costs at closed mines 16 (136)
Inventory impairment charges (note 17) 40 66
Supplies obsolescence 0 48
Change in other assets and liabilities 12 (28)
Settlement of stock-based compensation (57) (66)
Settlement of rehabilitation obligations (167) (145)
Other operating activities (65) (217)
Cash flow arising from changes in:    
Accounts receivable (155) 89
Inventory (97) (219)
Other current assets (146) (261)
Accounts payable (37) 93
Other current liabilities (17) (24)
Change in working capital (452) (322)
Financing Cash Flows - Other Items    
Pueblo Viejo JV partner shareholder loan 65 177
Gain on debt extinguishment 0 14
Other financing activities $ 65 $ 191