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OPERATING SEGMENTS (Details) - ZAR (R)
R in Millions
12 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2019
Financial performance      
Revenue (External) R 5,269.0 R 4,185.0 R 2,762.1
Cash operating costs (3,072.7) (2,626.0) (2,422.9)
Movement in gold in process and finished inventories - Gold Bullion (25.6) 3.1 32.6
Operating profit 2,170.7 1,562.1 371.8
Retrenchment costs 0.0 0.0 (6.3)
Administration expenses and other costs (64.0) (309.9) (90.9)
Interest income 109.1 63.1 16.9
Dividends received 76.1 4.3  
Interest expense (17.4) (9.7) (5.6)
Current tax (423.7) (263.2) 1.6
Working profit/(loss) before additions to property, plant and equipment 1,850.8 1,046.7 287.5
Additions to property, plant and equipment (395.7) (182.7) (353.7)
Working profit/(loss) after additions to property, plant and equipment 1,455.1 864.0 (66.2)
Reconciliation of cost of sales to cash operating costs [abstract]      
Cost of sales (3,388.2) (2,937.9) (2,553.9)
Depreciation 252.5 270.8 169.1
Change in estimate of environmental rehabilitation (12.4) (21.9) (60.0)
Movement in gold in process and finished inventories - gold Bullion 25.6 (3.1) (32.6)
Ongoing rehabilitation expenditure 48.3 24.3 18.3
Care and maintainence 3.9 (11.1) 8.8
Other operating income/(costs) (2.4) 30.7 27.4
Cash operating costs (3,072.7) (2,626.0) (2,422.9)
Profit/(loss) for the year 1,439.9 635.0 78.5
Deferred tax 100.0 80.7 28.2
Net other operating (costs)/income 1.5 41.8 29.9
Ongoing rehabilitation expenditure 48.3 24.3 18.3
Discount recognised on Payments made under protest including subsequent unwinding 2.6 3.2 3.5
Unwinding of provision for environmental rehabilitation 44.7 52.0 66.3
Growth in environmental rehabilitation trust funds and reimbursive right (26.2) (38.5) (38.4)
Other income (0.1) (0.7) (7.9)
Change in estimate of environmental rehabilitation recognised in profit or loss 12.4 21.9 60.0
Depreciation 252.5 270.8 169.1
Working profit/(loss) before additions to property, plant and equipment 1,850.8 1,046.7 287.5
Statement of cash flows [abstract]      
Cash inflows/(outflows) from operating activities 1,573.4 1,128.9 288.3
Cash inflows/(outflows) investing activities (446.6) (202.5) (303.0)
Cash inflows/(outflows) financing activities (653.5) 509.2 (7.9)
Ergo [member]      
Financial performance      
Revenue (External)     2,577.5
Cash operating costs     (2,311.1)
Movement in gold in process and finished inventories - Gold Bullion     16.4
Operating profit     282.8
Retrenchment costs     (1.6)
Administration expenses and other costs     (12.0)
Interest income     6.5
Interest expense     (2.4)
Current tax     1.6
Working profit/(loss) before additions to property, plant and equipment     274.9
Additions to property, plant and equipment     (22.8)
Working profit/(loss) after additions to property, plant and equipment     252.1
Reconciliation of cost of sales to cash operating costs [abstract]      
Change in estimate of environmental rehabilitation     (58.6)
Ongoing rehabilitation expenditure     16.6
Cash operating costs     (2,311.1)
Profit/(loss) for the year     82.3
Deferred tax     16.2
Net other operating (costs)/income     40.2
Ongoing rehabilitation expenditure     16.6
Discount recognised on Payments made under protest including subsequent unwinding     3.5
Unwinding of provision for environmental rehabilitation     45.4
Growth in environmental rehabilitation trust funds and reimbursive right     (11.3)
Other income     (2.2)
Change in estimate of environmental rehabilitation recognised in profit or loss     58.6
Depreciation     142.8
Working profit/(loss) before additions to property, plant and equipment     274.9
Statement of cash flows [abstract]      
Cash inflows/(outflows) from operating activities     221.7
Cash inflows/(outflows) investing activities     (39.4)
Cash inflows/(outflows) financing activities     (291.7)
FWGR [member]      
Financial performance      
Revenue (External)     184.6
Cash operating costs     (111.8)
Movement in gold in process and finished inventories - Gold Bullion     16.2
Operating profit     89.0
Retrenchment costs     (4.7)
Administration expenses and other costs     (2.3)
Interest income     0.0
Interest expense     0.0
Current tax     0.0
Working profit/(loss) before additions to property, plant and equipment     82.0
Additions to property, plant and equipment     (330.7)
Working profit/(loss) after additions to property, plant and equipment     (248.7)
Reconciliation of cost of sales to cash operating costs [abstract]      
Change in estimate of environmental rehabilitation     0.0
Ongoing rehabilitation expenditure     1.7
Cash operating costs     (111.8)
Profit/(loss) for the year     28.7
Deferred tax     13.4
Net other operating (costs)/income     15.4
Ongoing rehabilitation expenditure     1.7
Discount recognised on Payments made under protest including subsequent unwinding     0.0
Unwinding of provision for environmental rehabilitation     19.6
Growth in environmental rehabilitation trust funds and reimbursive right     (22.5)
Other income     0.0
Change in estimate of environmental rehabilitation recognised in profit or loss     0.0
Depreciation     25.7
Working profit/(loss) before additions to property, plant and equipment     82.0
Statement of cash flows [abstract]      
Cash inflows/(outflows) from operating activities     89.3
Cash inflows/(outflows) investing activities     (324.4)
Cash inflows/(outflows) financing activities     236.7
Operating Segments [Member] | Ergo [member]      
Financial performance      
Revenue (External) 3,943.0 3,064.3  
Cash operating costs (2,666.5) (2,274.0) (2,311.1)
Movement in gold in process and finished inventories - Gold Bullion (31.9) 1.8  
Operating profit 1,244.6 792.1  
Administration expenses and other costs 15.0 (131.6)  
Interest income 1.3 13.9  
Dividends received 7.1 0.0  
Interest expense (4.2) (5.2)  
Current tax (196.1) (145.8)  
Working profit/(loss) before additions to property, plant and equipment 1,067.7 523.4  
Additions to property, plant and equipment (250.9) (114.4)  
Working profit/(loss) after additions to property, plant and equipment 816.8 409.0  
Reconciliation of cost of sales to cash operating costs [abstract]      
Cost of sales (2,871.0) (2,453.4) (2,414.7)
Depreciation 135.6 150.4 142.8
Change in estimate of environmental rehabilitation (7.2) (19.1) (58.6)
Movement in gold in process and finished inventories - gold Bullion 31.9 (1.8) (16.4)
Ongoing rehabilitation expenditure 46.6 22.3 16.6
Care and maintainence 0.0 0.0 0.0
Other operating income/(costs) (2.4) 27.6 19.2
Cash operating costs (2,666.5) (2,274.0) (2,311.1)
Profit/(loss) for the year 751.7 297.1  
Deferred tax 66.6 (6.6)  
Net other operating (costs)/income 45.4 51.5  
Ongoing rehabilitation expenditure 46.6 22.3 16.6
Discount recognised on Payments made under protest including subsequent unwinding 2.6 3.2  
Unwinding of provision for environmental rehabilitation 34.2 36.5  
Growth in environmental rehabilitation trust funds and reimbursive right (7.7) (11.2)  
Other income (0.1) (0.7)  
Change in estimate of environmental rehabilitation recognised in profit or loss 7.2 19.1 58.6
Depreciation 135.6 150.4  
Working profit/(loss) before additions to property, plant and equipment 1,067.7 523.4  
Statement of cash flows [abstract]      
Cash inflows/(outflows) from operating activities 842.2 546.1  
Cash inflows/(outflows) investing activities (290.8) (135.7)  
Cash inflows/(outflows) financing activities (549.9) (405.5)  
Operating Segments [Member] | FWGR [member]      
Financial performance      
Revenue (External) 1,326.0 1,120.7  
Cash operating costs (406.2) (352.0) (111.8)
Movement in gold in process and finished inventories - Gold Bullion 6.3 1.3  
Operating profit 926.1 770.0  
Administration expenses and other costs 1.8 (20.7)  
Interest income 0.1 2.9  
Dividends received 0.0 0.0  
Interest expense (0.3) 0.0  
Current tax (227.6) (117.4)  
Working profit/(loss) before additions to property, plant and equipment 700.1 634.8  
Additions to property, plant and equipment (143.3) (68.0)  
Working profit/(loss) after additions to property, plant and equipment 556.8 566.8  
Reconciliation of cost of sales to cash operating costs [abstract]      
Cost of sales (517.2) (473.3) (131.3)
Depreciation 115.6 119.6 25.7
Change in estimate of environmental rehabilitation 0.0 (2.1) 0.0
Movement in gold in process and finished inventories - gold Bullion (6.3) (1.3) (16.2)
Ongoing rehabilitation expenditure 1.7 2.0 1.7
Care and maintainence 0.0 0.0 0.0
Other operating income/(costs) 0.0 3.1 8.3
Cash operating costs (406.2) (352.0) (111.8)
Profit/(loss) for the year 528.8 424.9  
Deferred tax 37.4 86.5  
Net other operating (costs)/income 24.2 14.8  
Ongoing rehabilitation expenditure 1.7 2.0 1.7
Discount recognised on Payments made under protest including subsequent unwinding 0.0 0.0  
Unwinding of provision for environmental rehabilitation 9.5 14.3  
Growth in environmental rehabilitation trust funds and reimbursive right (17.1) (25.2)  
Other income 0.0 0.0  
Change in estimate of environmental rehabilitation recognised in profit or loss 0.0 2.1 0.0
Depreciation 115.6 119.6  
Working profit/(loss) before additions to property, plant and equipment 700.1 634.8  
Statement of cash flows [abstract]      
Cash inflows/(outflows) from operating activities 649.7 563.1  
Cash inflows/(outflows) investing activities (149.2) (60.1)  
Cash inflows/(outflows) financing activities (501.4) (500.8)  
Other reconciling items [member]      
Financial performance      
Revenue (External) 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
Administration expenses and other costs (80.8) (157.6) (76.6)
Interest income 107.7 46.3 10.4
Dividends received 69.0 4.3  
Interest expense (12.9) (4.5) (3.2)
Current tax 0.0 0.0 0.0
Working profit/(loss) before additions to property, plant and equipment 83.0 (111.5) (69.4)
Additions to property, plant and equipment (1.5) (0.3) (0.2)
Working profit/(loss) after additions to property, plant and equipment 81.5 (111.8) (69.6)
Reconciliation of cost of sales to cash operating costs [abstract]      
Cost of sales 0.0 (11.2) (7.9)
Depreciation 1.3 0.8 0.6
Change in estimate of environmental rehabilitation (5.2) (0.7) (1.4)
Movement in gold in process and finished inventories - gold Bullion 0.0 0.0 0.0
Ongoing rehabilitation expenditure 0.0 0.0 0.0
Care and maintainence 3.9 11.1 8.8
Other operating income/(costs) 0.0 0.0 (0.1)
Cash operating costs 0.0 0.0 0.0
Profit/(loss) for the year 159.4 (87.0) (32.5)
Deferred tax (4.0) 0.8 (1.4)
Net other operating (costs)/income (68.1) (24.5) (25.7)
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 1.0 1.2 1.3
Growth in environmental rehabilitation trust funds and reimbursive right (1.4) (2.1) (4.6)
Other income 0.0 0.0 (5.7)
Change in estimate of environmental rehabilitation recognised in profit or loss 5.2 0.7 1.4
Depreciation 1.3 0.8 0.6
Working profit/(loss) before additions to property, plant and equipment 83.0 (111.5) (69.4)
Statement of cash flows [abstract]      
Cash inflows/(outflows) from operating activities 81.5 19.7 (22.7)
Cash inflows/(outflows) investing activities (6.6) (6.7) 60.8
Cash inflows/(outflows) financing activities R 397.8 R 1,415.5 R 47.1