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Financial risk management and financial instruments - Variable Rate Sensitivity (Details) - Interest rate risk - Variable - ZAR (R)
R in Millions
12 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Financial risk management and financial instruments    
Percentage of increase in risk variable used for sensitivity analysis 1.00% 1.00%
Percentage of decrease in risk variable used for sensitivity analysis 1.00% 1.00%
South Africa    
Financial risk management and financial instruments    
Income statement impact of increase in risk variable R 27 R (66)
Income statement impact of decrease in risk variable (27) 66
Europe    
Financial risk management and financial instruments    
Income statement impact of increase in risk variable 15 6
Income statement impact of decrease in risk variable R (15) (6)
Minimum reasonably possible repo interest rate 0.00%  
United States of America    
Financial risk management and financial instruments    
Income statement impact of increase in risk variable R (433) (362)
Income statement impact of decrease in risk variable R 433 362
Minimum reasonably possible repo interest rate 0.00%  
Other    
Financial risk management and financial instruments    
Income statement impact of increase in risk variable R 12 18
Income statement impact of decrease in risk variable R (12) R (18)