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Cash Generated by Operations - Summary of Cash Generated by Operations (Detail) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from (used in) operating activities [abstract]      
Profit for the year $ 721.7 $ 829.5 $ 745.4
– Mining and income taxation 442.1 424.9 432.5
– Royalties 110.4 112.4 105.0
– Amortisation and depreciation 844.3 713.2 661.3
– Interest expense – environmental rehabilitation 11.8 8.6 10.7
– Non-cash rehabilitation (income)/expense (8.9) 10.8 1.5
– Interest received – environmental trust funds (1.1) (0.8) (0.7)
– Impairment, net of reversal of impairment of investments and assets 505.0 42.4 (50.6)
– Write-off of exploration and evaluation assets 0.0 21.3 16.9
– (Profit)/loss on disposal of assets (10.4) (8.5) 0.2
– Unrealised (gain)/loss and prior year mark-to-market reversals on derivative contracts (1.8) 53.0 (176.4)
– Fair value gain on Maverix warrants 0.0 4.0 (1.3)
– Silicosis settlement costs (2.2) (0.7) 0.3
– Share-based payments 6.9 12.7 14.5
Long-term incentive plan 29.0 28.5 51.3
– Borrowing costs capitalised (37.9) (12.5) (13.2)
– Share of results of equity-accounted investees, net of taxation (11.1) 30.4 1.0
– Ghana expected credit loss 17.5 41.1 29.0
– Other non-cash items 1.2 1.7 (0.7)
– Interest expense 97.6 103.7 127.7
– Interest received (12.1) (7.4) (7.6)
– Payment of long-term incentive plan (32.4) (37.3) 0.0
– Environmental rehabilitation payments (10.8) (23.7) (12.9)
Cash generated by operations 2,658.8 2,347.3 1,933.9
Yamana break fee $ 300.0 $ 0.0 $ 0.0