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SEGMENTED INFORMATION (Details) - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2020
Dec. 31, 2019
Revenue    
Metal sales $ 4,213.4 $ 3,497.3
Cost of sales    
Production cost of sales 1,725.7 1,778.9
Depreciation, depletion and amortization 842.3 731.3
Reversals of impairment charges - net (650.9) (361.8)
Total cost of sales 1,917.1 2,148.4
Gross profit 2,296.3 1,348.9
Other operating expense (income) 186.5 108.5
Exploration and business development 92.5 113.5
General and administrative 117.9 135.8
Operating earnings 1,899.4 991.1
Other income - net 7.4 72.7
Finance income 4.3 7.9
Finance expense (112.6) (107.9)
Earnings before tax 1,798.5 963.8
Property, plant and equipment 7,653.5 6,340.0
Total assets 10,933.2 9,076.0
Capital expenditures for year ended December 31, 2020 1,061.9 1,207.3
Maricunga    
Revenue    
Metal sales 16.1 61.2
Cost of sales    
Operating earnings (12.5) 10.9
Corporate and other    
Revenue    
Metal sales 16.1 61.2
Cost of sales    
Production cost of sales 3.7 31.5
Depreciation, depletion and amortization 10.2 10.4
Reversals of impairment charges - net (185.0)  
Total cost of sales (171.1) 41.9
Gross profit 187.2 19.3
Other operating expense (income) 59.8 50.2
Exploration and business development 58.4 59.9
General and administrative 117.9 135.8
Operating earnings (48.9) (226.6)
Property, plant and equipment 1,154.5 421.5
Total assets 2,075.6 1,088.6
Capital expenditures for year ended December 31, 2020 82.3 27.1
Operating segments | Fort Knox    
Revenue    
Metal sales 422.9 279.6
Cost of sales    
Production cost of sales 251.3 213.7
Depreciation, depletion and amortization 97.2 90.3
Total cost of sales 348.5 304.0
Gross profit 74.4 (24.4)
Other operating expense (income) 2.6 25.1
Exploration and business development 4.8 3.4
Operating earnings 67.0 (52.9)
Property, plant and equipment 488.7 421.1
Total assets 719.7 633.2
Capital expenditures for year ended December 31, 2020 150.1 149.3
Operating segments | Round Mountain    
Revenue    
Metal sales 565.5 502.2
Cost of sales    
Production cost of sales 219.6 250.6
Depreciation, depletion and amortization 49.6 39.8
Total cost of sales 269.2 290.4
Gross profit 296.3 211.8
Other operating expense (income) 3.9 (0.3)
Exploration and business development 5.6 4.8
Operating earnings 286.8 207.3
Property, plant and equipment 774.6 653.7
Total assets 1,028.0 846.8
Capital expenditures for year ended December 31, 2020 180.6 241.5
Operating segments | Bald Mountain    
Revenue    
Metal sales 330.5 249.2
Cost of sales    
Production cost of sales 155.9 136.6
Depreciation, depletion and amortization 128.3 79.5
Total cost of sales 284.2 216.1
Gross profit 46.3 33.1
Other operating expense (income) 5.2 7.8
Exploration and business development 6.5 12.6
Operating earnings 34.6 12.7
Property, plant and equipment 635.7 685.1
Total assets 857.1 862.5
Capital expenditures for year ended December 31, 2020 129.1 249.3
Operating segments | Paracatu    
Revenue    
Metal sales 960.7 856.3
Cost of sales    
Production cost of sales 358.9 412.3
Depreciation, depletion and amortization 183.5 163.4
Reversals of impairment charges - net   (200.7)
Total cost of sales 542.4 375.0
Gross profit 418.3 481.3
Other operating expense (income) 11.3 (10.9)
Operating earnings 407.0 492.2
Property, plant and equipment 1,718.8 1,748.1
Total assets 2,226.3 2,024.0
Capital expenditures for year ended December 31, 2020 161.3 113.5
Operating segments | Kupol    
Revenue    
Metal sales 904.6 734.4
Cost of sales    
Production cost of sales 304.5 314.1
Depreciation, depletion and amortization 123.5 125.1
Reversals of impairment charges - net 27.8  
Total cost of sales 455.8 439.2
Gross profit 448.8 295.2
Other operating expense (income) 32.5 (8.9)
Exploration and business development 5.8 23.0
Operating earnings 410.5 281.1
Property, plant and equipment 271.2 332.8
Total assets 896.9 1,053.4
Capital expenditures for year ended December 31, 2020 32.9 39.7
Operating segments | Tasiast    
Revenue    
Metal sales 718.0 532.8
Cost of sales    
Production cost of sales 235.7 230.4
Depreciation, depletion and amortization 191.8 130.2
Reversals of impairment charges - net (289.2) (161.1)
Total cost of sales 138.3 199.5
Gross profit 579.7 333.3
Other operating expense (income) 73.4 46.4
Exploration and business development 2.0 1.8
Operating earnings 504.3 285.1
Property, plant and equipment 2,277.3 1,924.8
Total assets 2,699.8 2,312.5
Capital expenditures for year ended December 31, 2020 302.2 370.5
Operating segments | Chirano    
Revenue    
Metal sales 295.1 281.6
Cost of sales    
Production cost of sales 196.1 189.7
Depreciation, depletion and amortization 58.2 92.6
Reversals of impairment charges - net (204.5)  
Total cost of sales 49.8 282.3
Gross profit 245.3 (0.7)
Other operating expense (income) (2.2) (0.9)
Exploration and business development 9.4 8.0
Operating earnings 238.1 (7.8)
Property, plant and equipment 332.7 152.9
Total assets 429.8 255.0
Capital expenditures for year ended December 31, 2020 $ 23.4 $ 16.4