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Consolidated statement of financial position
$ in Millions, $ in Millions
Dec. 31, 2023
USD ($)
Dec. 31, 2022
USD ($)
ASSETS    
Non-current assets $ 6,338.6 $ 5,535.7
Property, plant and equipment 5,074.4 4,815.7
Inventories 251.9 205.3
Equity accounted investees 548.6 84.9
Investments 106.2 112.1
Environmental trust funds 109.6 98.8
Loan advanced – contractor 0.0 23.4
Taxation receivable 75.7 0.0
Deferred taxation 172.2 195.5
Current assets 1,734.4 1,802.4
Inventories 827.9 759.0
Trade and other receivables 251.4 198.0
Taxation receivable 6.4 76.0
Cash and cash equivalents 648.7 769.4
Assets held for sale 153.3 0.0
Total assets 8,226.3 7,338.1
EQUITY AND LIABILITIES    
Equity attributable to owners of the parent 4,476.1 4,207.6
Stated capital 3,871.5 3,871.5
Other reserves (2,359.3) (2,293.1)
Retained earnings 2,963.9 2,629.2
Non-controlling interests 143.7 131.9
Total equity 4,619.8 4,339.5
Non-current liabilities 2,100.7 2,213.2
Deferred taxation 389.3 399.8
Borrowings 653.4 1,079.3
Provisions 412.4 381.6
Windfall Project – contingent and exploration considerations 245.4 0.0
Lease liabilities 359.7 330.1
Long-term incentive plan 40.5 22.4
Current liabilities 1,505.8 785.4
Trade and other payables 643.9 600.7
Royalties payable 21.0 17.9
Taxation payable 95.7 53.6
Current portion of borrowings 583.1 0.0
Current portion of lease liabilities 76.7 64.1
Current portion of provisions 47.0 18.5
Current portion of long-term incentive plan 38.4 30.6
Total liabilities 3,606.5 2,998.6
Total equity and liabilities $ 8,226.3 $ 7,338.1