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CASH GENERATED FROM OPERATIONS (Tables)
12 Months Ended
Dec. 31, 2024
Statement of cash flows [abstract]  
Disclosure of cash generated from operations
US Dollars
Figures in millions
2024
2023
2022
Profit before taxation
1,672
63
472
Adjusted for:
Movement on non-hedge derivatives and other commodity contracts
(15)
9
6
Amortisation of tangible and right of use assets (Note 4)
751
657
636
Amortisation of intangible assets (Note 4)
1
1
1
Finance costs and unwinding of obligations (Note 6)
167
157
149
Environmental, rehabilitation, silicosis and other provisions
(57)
(75)
(85)
(Reversal of impairment)/net impairment and derecognition of assets
(47)
234
319
Profit on sale of assets
(14)
(14)
(8)
Other expenses (non cash portion)
33
71
9
Interest income
(160)
(127)
(81)
Share of associates and joint ventures’ profit
(155)
(207)
(161)
Other non-cash movements
116
27
25
Other exchange losses
25
168
102
Movements in working capital
(254)
(93)
(140)
2,063
871
1,244
Movements in working capital:
Increase in inventories
(78)
(58)
(54)
Increase in trade, other receivables and other assets
(182)
(117)
(152)
Increase in trade, other payables and provisions
6
82
66
(254)
(93)
(140)