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Cash flow from operations (Details) - ZAR (R)
R in Millions
12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Cash flow from operations      
Earnings/(loss) before interest and tax (EBIT/(LBIT)) R (27,305) R 21,520 R 61,417
Adjusted for      
share of profits of equity accounted investments (1,758) (2,623) (3,128)
equity-settled share-based payment 986 1,033 1,164
depreciation and amortisation 15,644 16,491 14,073
effect of remeasurement items 75,414 33,898 (9,903)
movement in long-term provisions      
income statement charge (651) (718) 643
utilisation (459) (811) (310)
movement in short-term provisions 280 (261) (2,182)
movement in post-retirement benefits 373 381 443
translation effects 673 (1,821) (886)
write-down of inventories to net realisable value 370 948 451
movement in financial assets and liabilities (4,588) (6,708) 2,760
movement in other receivables and payables (1,119) (5,205) 3,223
other non-cash movements (698) 463 (91)
Cash flow from operations 57,162 R 56,587 R 67,674
Deferred income non-cash movement R (627)