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Note 31 - Financial Instruments - Exposure to Risk (Details)
R in Thousands, $ in Thousands
Dec. 31, 2019
ZAR (R)
Dec. 31, 2019
USD ($)
Dec. 31, 2018
ZAR (R)
Dec. 31, 2018
USD ($)
Currency risk [member]        
Statement Line Items [Line Items]        
Net monetary assets/(liabilities) exposed R 57 $ 2,771 R 57 $ 1,968
Effect of possible strengthening or weakening 3 150 3 95
Currency risk [member] | Cash and cash equivalents [member]        
Statement Line Items [Line Items]        
Net monetary assets/(liabilities) exposed 57 4,176 [1] 57 8,147
Effect of possible strengthening or weakening 3 199 3 388
Currency risk [member] | Term loan [member]        
Statement Line Items [Line Items]        
Net monetary assets/(liabilities) exposed (2,471) [1] (5,960)
Effect of possible strengthening or weakening (117) (283)
Currency risk [member] | Overdraft [member]        
Statement Line Items [Line Items]        
Net monetary assets/(liabilities) exposed (490)
Currency risk [member] | Trade and other receivables [member]        
Statement Line Items [Line Items]        
Net monetary assets/(liabilities) exposed 1,735 126
Effect of possible strengthening or weakening 82 6
Currency risk [member] | Trade and other payables [member]        
Statement Line Items [Line Items]        
Net monetary assets/(liabilities) exposed (179) (345)
Effect of possible strengthening or weakening 9 (16)
Currency risk [member] | Overdrafts [member]        
Statement Line Items [Line Items]        
Effect of possible strengthening or weakening (23)
Interest rate risk [member] | Cash and cash equivalents [member]        
Statement Line Items [Line Items]        
Net monetary assets/(liabilities) exposed   9,383   11,187
Interest rate risk [member] | Term loan facility [member]        
Statement Line Items [Line Items]        
Net monetary assets/(liabilities) exposed   (2,471)   (5,960)
Interest rate risk [member] | Overdrafts [member]        
Statement Line Items [Line Items]        
Net monetary assets/(liabilities) exposed   (490)  
Interest rate risk , increase by 100 basis points [member] | Cash and cash equivalents [member]        
Statement Line Items [Line Items]        
Effect of possible strengthening or weakening   94   111
Interest rate risk , increase by 100 basis points [member] | Term loan [member]        
Statement Line Items [Line Items]        
Effect of possible strengthening or weakening   (25)   (60)
Interest rate risk , increase by 100 basis points [member] | Overdraft [member]        
Statement Line Items [Line Items]        
Effect of possible strengthening or weakening   (5)  
Interest rate risk, decrease by 100 basis points [member] | Cash and cash equivalents [member]        
Statement Line Items [Line Items]        
Effect of possible strengthening or weakening   (94)   (111)
Interest rate risk, decrease by 100 basis points [member] | Term loan [member]        
Statement Line Items [Line Items]        
Effect of possible strengthening or weakening   25   60
Interest rate risk, decrease by 100 basis points [member] | Overdraft [member]        
Statement Line Items [Line Items]        
Effect of possible strengthening or weakening   $ 5  
[1] Of the cash and cash equivalents and term loan facility $6,560 (2017:Nil) and $5,960 (2017:Nil) are denominated in RTGS$ respectively.