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Cash Generated by Operations (Tables)
12 Months Ended
Jun. 30, 2019
Cash Generated By Operations [Abstract]  
Disclosure of Cash Generated by Operations
 
SA rand
Figures in million
2019

2018

2017

 
 
 
 
Reconciliation of profit/(loss) before taxation to cash generated by operations:
 
 
 
 
 
 
 
Profit/(loss) before taxation
(2 746
)
(4 707
)
(148
)
Adjustments for:
 
 
 
Amortisation and depreciation
4 054

2 570

2 519

Impairment of assets
3 898

5 336

1 718

Share-based payments
230

363

391

Net decrease in provision for post-retirement benefits
(12
)
(10
)
(9
)
Net decrease in provision for environmental rehabilitation
(53
)
(27
)
(111
)
Profit on sale of property, plant and equipment
(5
)
(2
)
(42
)
Loss on scrapping of property, plant and equipment
21

1

140

(Profit)/loss from associates
(59
)
(38
)
22

Gain on bargain purchase


(848
)
Investment income
(308
)
(343
)
(268
)
Finance costs
575

330

234

Inventory adjustments
(166
)
(211
)
422

Foreign exchange translation difference
95

668

(224
)
Non cash portion of gains on derivatives
(429
)
549

(100
)
Day one loss amortisation
32

37

94

Silicosis settlement provision
(62
)
(68
)
917

Other non-cash adjustments
(11
)
(70
)
(88
)
 
 
 
 
Effect of changes in operating working capital items
 
 
 
 
 
 
 
Receivables
32

(106
)
(409
)
Inventories
(88
)
(351
)
24

Payables
54

368

112

 
 
 
 
Cash generated by operations
5 052

4 289

4 346