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OPERATING SEGMENTS (Details) - ZAR (R)
R in Millions
12 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Jun. 30, 2018
Financial performance      
External revenue R 4,185.0 R 2,762.1 R 2,490.4
Cash operating costs (2,626.0) (2,422.9) (2,159.7)
Movement in gold in process and finished inventories - Gold Bullion 3.1 32.6 24.5
Operating profit 1,562.1 371.8 355.2
Retrenchment costs 0.0 (6.3) 0.0
Administration expenses and other costs (309.9) (90.9) (90.7)
Interest income 67.4 16.9 21.8
Interest expense (9.7) (5.6) (4.1)
Current tax (263.2) 1.6 (6.4)
Working profit/(loss) before additions to property, plant and equipment 1,046.7 287.5 276.4
Additions to property, plant and equipment (182.7) (353.7) (126.1)
Total working profit/(loss) after additions to property, plant and equipment 864.0 (66.2) 150.3
Profit for the year 635.0 78.5 6.5
Deferred tax 80.7 28.2 (19.5)
Net other operating (costs)/income 41.8 29.9 20.6
Ongoing rehabilitation expenditure 24.3 18.3 (26.7)
Discount recognised on Payments made under protest including subsequent unwinding 3.2 3.5 8.1
Unwinding of provision for environmental rehabilitation 52.0 66.3 45.6
Loss on disposal of property, plant and equipment 0.0 0.0 0.6
Growth in environmental rehabilitation trust funds and reimbursive right (38.5) (38.4) (16.3)
Other income (0.7) (7.9) 0.0
Change in estimate of environmental rehabilitation recognised in profit or loss (21.9) (60.0) (2.9)
Depreciation 270.8 169.1 168.0
Working profit/(loss) before additions to property, plant and equipment 1,046.7 287.5 276.4
Statement of cash flows [abstract]      
Cash flows from (used in) operating activities 1,128.9 288.3 233.8
Cash flows from (used in) investing activities (202.5) (303.0) (140.4)
Cash flows from (used in) financing activities 509.2 (7.9) (45.0)
Ergo [member]      
Financial performance      
External revenue 3,064.3 2,577.5 2,490.4
Cash operating costs (2,274.0) (2,311.1) (2,159.7)
Movement in gold in process and finished inventories - Gold Bullion 1.8 16.4 24.5
Operating profit 792.1 282.8 355.2
Retrenchment costs 0.0 (1.6)  
Administration expenses and other costs (131.6) (12.0) (11.5)
Interest income 13.9 6.5 9.5
Interest expense (5.2) (2.4) (3.1)
Current tax (145.8) 1.6 (2.9)
Working profit/(loss) before additions to property, plant and equipment 523.4 274.9 347.2
Additions to property, plant and equipment (114.4) (22.8) (125.2)
Total working profit/(loss) after additions to property, plant and equipment 409.0 252.1 222.0
Profit for the year 297.1 82.3 53.3
Deferred tax 6.6 16.2 (23.2)
Net other operating (costs)/income 51.5 40.2 36.2
Ongoing rehabilitation expenditure 22.3 16.6 (26.7)
Discount recognised on Payments made under protest including subsequent unwinding 3.2 3.5 8.1
Unwinding of provision for environmental rehabilitation 36.5 45.4 44.3
Loss on disposal of property, plant and equipment     0.6
Growth in environmental rehabilitation trust funds and reimbursive right (11.2) (11.3) (10.1)
Other income (0.7) (2.2)  
Change in estimate of environmental rehabilitation recognised in profit or loss (19.1) (58.6) (2.5)
Depreciation 150.4 142.8 167.4
Working profit/(loss) before additions to property, plant and equipment 523.4 274.9 347.2
Statement of cash flows [abstract]      
Cash flows from (used in) operating activities 546.1 221.7 285.3
Cash flows from (used in) investing activities (135.7) (39.4) (140.2)
Cash flows from (used in) financing activities (405.5) (291.7) (2.8)
FWGR [member]      
Financial performance      
External revenue 1,120.7 184.6  
Cash operating costs (352.0) (111.8)  
Movement in gold in process and finished inventories - Gold Bullion 1.3 16.2  
Operating profit 770.0 89.0  
Retrenchment costs 0.0 (4.7)  
Administration expenses and other costs (20.7) (2.3)  
Interest income 2.9 0.0  
Interest expense 0.0 0.0  
Current tax (117.4) 0.0  
Working profit/(loss) before additions to property, plant and equipment 634.8 82.0  
Additions to property, plant and equipment (68.0) (330.7)  
Total working profit/(loss) after additions to property, plant and equipment 566.8 (248.7)  
Profit for the year 424.9 28.7  
Deferred tax (86.5) 13.4  
Net other operating (costs)/income 14.8 15.4  
Ongoing rehabilitation expenditure 2.0 1.7  
Discount recognised on Payments made under protest including subsequent unwinding 0.0 0.0  
Unwinding of provision for environmental rehabilitation 14.3 19.6  
Growth in environmental rehabilitation trust funds and reimbursive right (25.2) (22.5)  
Other income 0.0 0.0  
Change in estimate of environmental rehabilitation recognised in profit or loss (2.1) 0.0  
Depreciation 119.6 25.7  
Working profit/(loss) before additions to property, plant and equipment 634.8 82.0  
Statement of cash flows [abstract]      
Cash flows from (used in) operating activities 563.1 89.3  
Cash flows from (used in) investing activities (60.1) (324.4)  
Cash flows from (used in) financing activities (500.8) 236.7  
Other reconciling items [member]      
Financial performance      
External revenue 0.0 0.0 0.0
Cash operating costs 0.0 0.0 0.0
Movement in gold in process and finished inventories - Gold Bullion 0.0 0.0 0.0
Operating profit 0.0 0.0 0.0
Retrenchment costs 0.0 0.0 0.0
Administration expenses and other costs (157.6) (76.6) (78.6)
Interest income 50.6 10.4 12.3
Interest expense (4.5) (3.2) (1.0)
Current tax 0.0 0.0 (3.5)
Working profit/(loss) before additions to property, plant and equipment (111.5) (69.4) (70.8)
Additions to property, plant and equipment (0.3) (0.2) (0.9)
Total working profit/(loss) after additions to property, plant and equipment (111.8) (69.6) (71.7)
Profit for the year (87.0) (32.5) (46.8)
Deferred tax (0.8) (1.4) 3.7
Net other operating (costs)/income (24.5) (25.7) (15.6)
Ongoing rehabilitation expenditure 0.0 0.0 0.0
Discount recognised on Payments made under protest including subsequent unwinding 0.0 0.0 0.0
Unwinding of provision for environmental rehabilitation 1.2 1.3 1.3
Loss on disposal of property, plant and equipment     0.0
Growth in environmental rehabilitation trust funds and reimbursive right (2.1) (4.6) (6.2)
Other income 0.0 (5.7)  
Change in estimate of environmental rehabilitation recognised in profit or loss (0.7) (1.4) (0.4)
Depreciation 0.8 0.6 0.6
Working profit/(loss) before additions to property, plant and equipment (111.5) (69.4) (70.8)
Statement of cash flows [abstract]      
Cash flows from (used in) operating activities 19.7 (22.7) (51.5)
Cash flows from (used in) investing activities (6.7) 60.8 (0.2)
Cash flows from (used in) financing activities R 1,415.5 R 47.1 R (42.2)