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Consolidated statement of changes in equity - ZAR (R)
R in Millions
Total
Drdgold Limited
Lonmin Canada
Platinum Mile
Stated share capital
Re- organisation reserve
Share-based payment reserve
Mark-to- market reserve
Foreign currency translation reserve
Accumulated profit/(loss)
Accumulated profit/(loss)
Drdgold Limited
Accumulated profit/(loss)
Lonmin Canada
Accumulated profit/(loss)
Platinum Mile
Equity attributable to owners of Sibanye-Stillwater
Equity attributable to owners of Sibanye-Stillwater
Drdgold Limited
Equity attributable to owners of Sibanye-Stillwater
Lonmin Canada
Equity attributable to owners of Sibanye-Stillwater
Platinum Mile
Non- controlling interests
Non- controlling interests
Drdgold Limited
Non- controlling interests
Lonmin Canada
Non- controlling interests
Platinum Mile
Balance at beginning of period at Dec. 31, 2019 R 31,138       R 0 [1] R 40,662 R 3,900 R 182 R 360 R (15,434)       R 29,670       R 1,468      
Total comprehensive income for the year 28,616             202 (2,227) 29,312       27,287       1,329      
Profit for the year 30,622                 29,312       29,312       1,310      
Other comprehensive income (2,006)             202 (2,227)         (2,025)       19      
Equity-settled share-based payments 158           152             152       6      
Dividends (1,698)                 (1,338)       (1,338)       (360)      
Increase (decrease) due to reorganisation 0       17,661 (17,661)               0              
Shares issued upon conversion of US$ Convertible Bond 12,573       12,573 0               12,573              
Share buy-back (84)       (84)                 (84)              
Transaction with shareholders   R 0 R 13               R (324)       R (324) R 0   324 R 324 R 13  
Balance at end of period at Dec. 31, 2020 70,716 [2],[3]       30,150 [3] 23,001 [3] 4,052 [3] 384 [3] (1,867) [3] 12,216 [3]       67,936 [3]       2,780 [3] 1,768   R 37
Total comprehensive income for the year 38,431             837 3,807 33,054       37,698       733      
Profit for the year 33,796                 33,054       33,054       742      
Other comprehensive income 4,635             837 3,807         4,644       (9)      
Equity-settled share-based payments 151           142             142       9      
Dividends (18,176)                 (17,832)       (17,832)       (344)      
Increase (decrease) due to reorganisation (1,146)                 34       34       (1,180)      
Share buy-back (8,503)       (8,503)                 (8,503)              
Transaction with shareholders       R (128)                 R (82)       R (82)       (46)
Adjustment due to sale of St Helena Hospital Proprietary Limited (St Helena Hospital) 0           (24)     24       0              
Balance at end of period at Dec. 31, 2021 81,345 [2],[3]       21,647 [3] 23,001 [3] 4,170 [3] 1,221 [3] 1,940 [3] 27,414 [3]       79,393 [3]       1,952 [3] 1,939   0
Total comprehensive income for the year 21,349             (1,519) 3,798 18,392       20,671       678      
Profit for the year 18,980                 18,396       18,396       584      
Other comprehensive income 2,369             (1,519) 3,798 (4)       2,275       94      
Equity-settled share-based payments 24           14             14       10      
Dividends (9,453)                 (9,197)       (9,197)       (256)      
Transaction with shareholders (3,452)               62 (2,828)       (2,766)       (686)      
Keliber asset acquisition 1,219                         0       1,219      
Sale of Lonmin Canada Incorporated (Lonmin Canada)     R (14)                 R 0       R 0       R (14)  
Foreign exchange movement recycled through profit or loss (14)               (14)         (14)              
Balance at end of period at Dec. 31, 2022 R 91,004       R 21,647 R 23,001 R 4,184 R (298) R 5,786 R 33,781       R 88,101       R 2,903 R 2,283   R 0
[1] * Less than R1 million
[2] * Restated — see note 1.5
[3] ** Restated — see note 1.5