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CASH GENERATED FROM OPERATIONS (Tables)
12 Months Ended
Dec. 31, 2022
Statement of cash flows [abstract]  
Disclosure of Cash Generated From Operations
US Dollars
Figures in millions202220212020
Profit (loss) before taxation489 958 1,627 
Adjusted for:
Movement on non-hedge derivatives and other commodity contracts 6 — — 
Amortisation of tangible and right of use assets (note 4)
632 474 573 
Amortisation of intangible assets (note 4)
1 
Finance costs and unwinding of obligations (note 6)
149 116 177 
Environmental, rehabilitation, silicosis and other provisions(85)(20)(50)
Impairment and derecognition of assets 308 
Profit on sale of assets(8)(22)(2)
Other expenses (income)9 61 51 
Interest income(81)(58)(27)
Share of associates and joint ventures’ (profit) loss (note 7)
(166)(249)(278)
Other non-cash movements127 30 30 
Movements in working capital(137)53 (238)
1,244 1,353 1,866 
Movements in working capital:
(Increase) decrease in inventories(54)58 (83)
Increase in trade, other receivables and other assets(149)(49)(163)
Increase in trade, other payables and provisions66 44 
(137)53 (238)