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Statement of cash flows (Parenthetical)
R in Millions, $ in Billions
6 Months Ended
Dec. 31, 2020
USD ($)
Dec. 31, 2020
ZAR (R)
Statement    
Increase (decrease) in cash generated by operating activities (as a percent) 40.00% 40.00%
Cash generated by operating activities   R 11,746 [1]
Proceeds on disposals   33,963 [2]
US Base Chemicals and Gemini HDPE LLC    
Statement    
Proceeds on disposals $ 2.4 R 33,000
Gemini HDPE LLC    
Statement    
Proportion of equity interest disposed of 50.00% 50.00%
Proceeds on disposals   R 5,900
[1] Cash generated by operating activities decreased by 40% to R11.7 billion compared to the prior period. Our cash flows were impacted by low crude oil prices, softer chemical prices, plant downtime and the impact of COVID-19, partly negated by our cash conservation initiative.
[2] Includes proceeds received from the disposal of a portion of our US LCCP Base Chemicals business, as well as our 50% equity interest in the Gemini HDPE LLC (approximately R33 billion