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Cash Generated From Operations Cash Generated From Operations
6 Months Ended
Jun. 30, 2019
Statement of cash flows [abstract]  
Cash Generated From Operations
Cash generated from operations
 
 
 
Six months

Six months

Year

 
 
 
ended

ended

ended

 
 
 
Jun

Jun

Dec

 
 
 
2019

2018

2018

US Dollar million
 
 
Reviewed

Reviewed

Audited










Profit (loss) before taxation


181

86

278

Adjusted for:








Movement on non-hedge derivatives and other commodity contracts


(7
)
(9
)
3

Amortisation of tangible and right of use assets


294

294

625

Finance costs and unwinding of obligations


96

85

178

Environmental, rehabilitation and other expenditure


(17
)
(32
)
(35
)
Special items


12

112

106

Amortisation of intangible assets


2

3

5

Fair value adjustments


(1
)

3

Interest income


(8
)
(9
)
(17
)
Share of associates and joint ventures' (profit) loss


(78
)
(40
)
(122
)
Other non-cash movements


50

10

39

Movements in working capital


(146
)
(132
)
(131
)



378

368

932










Movements in working capital:








(Increase) decrease in inventories


(24
)
30

(9
)
(Increase) decrease in trade and other receivables


(88
)
(59
)
(72
)
Increase (decrease) in trade, other payables and deferred income


(34
)
(103
)
(50
)



(146
)
(132
)
(131
)