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Property, plant and equipment (Tables)
12 Months Ended
Jun. 30, 2025
Property, plant and equipment  
Schedule of detailed information about property, plant and equipment

  

  

    

Building 

    

Plant,

    

    

Assets

 

and

equipment

Mineral 

under

Land

improvements 

and vehicles

assets

construction*

Total

for the year ended 30 June

 Rm

Rm

Rm

Rm

Rm

    

 Rm

Carrying amount at 30 June 2023

4 592

 

11 258

 

169 176

 

14 009

 

26 437

225 472

Cost

 

5 023

 

24 252

 

399 595

 

53 259

 

26 437

508 566

Accumulated depreciation and impairment

 

(431)

 

(12 994)

 

(230 419)

 

(39 250)

 

(283 094)

Additions

 

 

14

 

683

 

354

 

29 514

30 565

to sustain existing operations

 

 

14

 

676

 

250

 

23 245

24 185

to expand operations

 

 

 

7

 

104

 

6 269

6 380

Reduction in rehabilitation provisions capitalised

 

 

 

(47)

 

(493)

 

(189)

(729)

Finance costs capitalised

1 644

1 644

Assets capitalised or reclassified

 

 

744

 

13 367

 

3 541

 

(17 997)

(345)

Reclassification to held for sale

 

(6)

 

 

119

 

 

9

122

Translation of foreign operations

 

(148)

 

(341)

 

(4 768)

 

 

(171)

(5 428)

Disposals and scrapping

 

(3)

 

(31)

 

(349)

 

(6)

 

(493)

(882)

Current year depreciation charge

 

 

(531)

 

(10 391)

 

(1 945)

 

(12 867)

Net impairment of property, plant and equipment (note 8)

 

(196)

 

(237)

 

(67 450)

 

(1 024)

 

(5 056)

(73 963)

Carrying amount at 30 June 2024

 

4 239

 

10 876

 

100 340

 

14 436

 

33 698

163 589

Cost

4 849

24 248

398 678

56 164

33 698

517 637

Accumulated depreciation and impairment

(610)

(13 372)

(298 338)

(41 728)

(354 048)

Additions

2

511

295

25 000

25 808

to sustain existing operations

2

505

244

22 062

22 813

to expand operations

6

51

2 938

2 995

Reduction in rehabilitation provisions capitalised (note 29)

(212)

(212)

Finance costs capitalised

1 883

1 883

Assets capitalised or reclassified

1 260

16 324

3 509

(21 059)

34

Reclassification from/(to) held for sale

47

(6)

(7)

34

Translation of foreign operations

(78)

(67)

(831)

132

(844)

Disposals and scrapping

(1)

(13)

(242)

(40)

(528)

(824)

Current year depreciation charge

(609)

(8 243)

(2 335)

(11 187)

Net impairment of property, plant and equipment (note 8)

(124)

320

(5 572)

(4 218)

(10 646)

(20 240)

Carrying amount at 30 June 2025

4 083

11 763

102 280

11 647

28 268

158 041

Cost

 

4 838

 

24 849

 

408 717

 

59 169

 

28 268

525 841

Accumulated depreciation and impairment

 

(755)

 

(13 086)

 

(306 437)

 

(47 522)

 

(367 800)

*Includes intangible assets and exploration and evaluation assets under construction.

    

2025

    

2024

    

2023

for the year ended 30 June

Rm

Rm

Rm

 

Additions to property, plant and equipment (cash flow)

Current year additions

25 808

 

30 565

 

30 943

Adjustments for non-cash items

(463)

 

(491)

 

(217)

movement in environmental provisions capitalised

(264)

 

(473)

 

(50)

Reduction in capital project pre-payment

(191)

Rig leases

(10)

Area A5-A receivable

2

(18)

(167)

Per the statement of cash flows

25 345

 

30 074

 

30 726

Schedule of capital commitments (excluding equity accounted investments)

    

2025

    

2024

  

for the year ended 30 June

Rm

Rm

Capital commitments (excluding equity accounted investments)

Capital commitments, excluding capitalised interest, include all projects for which specific Board approval has been obtained. Projects still under investigation for which specific Board approvals have not yet been obtained are excluded from the following:

 

  

 

  

 

Authorised and contracted for

 

45 106

 

50 551

 

Authorised but not yet contracted for

 

21 015

 

26 897

 

Less expenditure to the end of year

 

(38 700)

 

(42 057)

 

 

27 421

 

35 391

to sustain existing operations

 

25 012

 

29 988

 

to expand operations

 

2 409

 

5 403

 

Estimated expenditure

 

  

 

  

 

Within one year

 

20 634

 

24 796

 

One to five years

 

6 787

 

10 595

 

 

27 421

 

35 391

Significant capital commitments and expenditure at 30 June comprise mainly of:

Capital commitments

Capital expenditure

    

    

    

2025

    

2024

    

2025

    

2024

Project

Project location 

Business segment

Rm

Rm

Rm

Rm

Projects to sustain operations

Shutdown and major statutory maintenance

Various

Various

5 972

9 362

6 977

7 239

Environmental projects

Various

 

Various

 

1 025

5 102

 

2 569

3 143

Clean fuels II

 

Various

 

Fuels

 

1 642

1 960

 

1 271

1 495

Projects to expand operations

Exploration and development

 

Mozambique

 

Gas

 

1 779

3 422

 

3 309

6 475

Schedule of depreciation and amortisation expense

    

    

 

Buildings and improvements

1 - 17%, units of production over life of related reserve base

 

Retail convenience centres (included in buildings and improvements)

3 – 5

%

Plant

2 – 50

%

Equipment

 

3 – 91

%

Vehicles

 

5 – 33

%

Mineral assets

 

Units of production over life of related reserve base

Life-of-mine coal assets (included in mineral assets)

 

Units of production over life of related reserve base