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Statement of cash flows - ZAR (R)
R in Millions
12 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2020
Statement of cash flows      
Cash receipts from customers R 266,324 R 194,712 R 196,798
Cash paid to suppliers and employees (210,186) (149,598) (154,414)
Cash generated by operating activities 56,138 45,114 42,384
Dividends received from equity accounted investments 3,043 37 208
Finance income received 986 837 792
Finance costs paid (5,478) (6,173) (7,154)
Tax paid (13,531) (5,280) (5,659)
Cash available from operating activities 41,158 34,535 30,571
Dividends paid (49) (46) (31)
Dividends paid to non-controlling shareholders in subsidiaries (859) (446) (810)
Cash retained from operating activities 40,250 34,043 29,730
Additions to non-current assets (23,269) (18,214) (41,935)
additions to property, plant and equipment (22,593) (15,945) (35,145)
additions to other intangible assets (120) (3) (19)
decrease in capital project related payables (556) (2,266) (6,771)
Cash movements in equity accounted investments (67)   (284)
Proceeds on disposals and scrappings 8,484 43,214 4,285
Movement in assets held for sale (549) (427)  
Acquisition of interest in equity accounted investments (56)   (512)
Purchase of investments (95) (124) (121)
Proceeds from sale of investments 26 168 483
Decrease/(increase) in long-term receivables 449 476 (466)
Cash (used in)/received from investing activities (15,077) 25,093 (38,550)
Proceeds from long-term debt 88 26,057 36,487
Repayment of long-term debt (12,086) (61,454) (28,335)
Payment of lease liabilities (2,264) (2,180) (2,061)
Repayment of debt held for sale (704) (980)  
Proceeds from short-term debt 28 9 19,998
Repayment of short-term debt (15) (19,717) (977)
Cash (used in)/generated by financing activities (14,953) (58,265) 25,112
Translation effects on cash and cash equivalents 1,759 (2,916) 3,607
Increase/(decrease) in cash and cash equivalents 11,979 (2,045) 19,899
Cash and cash equivalents at the beginning of year 30,988 34,094 15,819
Reclassification to disposal groups held for sale and other long-term investments   (1,061) (1,624)
Cash and cash equivalents at the end of the year R 42,967 R 30,988 R 34,094