v3.26.1
Cash generated by operations
12 Months Ended
Dec. 31, 2025
Cash Generated By Operations [Abstract]  
Cash generated by operations 33.  Cash generated by operations
Figures in million - SA rand
Notes
2025
2024
2023
Loss for the year
(4,739)
(5,710)
(37,430)
Royalties
11.1
1,145
543
1,050
Carbon tax
2
2
Mining and income tax
11.2
4,328
1,496
(2,416)
Interest income
5.1
(1,568)
(1,337)
(1,369)
Finance expense
5.2
5,000
4,571
3,299
Profit/(loss) before interest, royalties, carbon tax and tax
4,166
(435)
(36,864)
Non-cash adjusting items:
Amortisation and depreciation
4
9,367
8,810
10,012
Section 45X credits
4
(5,885)
Share-based payments
6.6
2,114
251
113
Loss/(gain) on financial instruments
7
2,509
(5,574)
(101)
Foreign currency exchange adjustment
(454)
168
(1,647)
Share of results of equity-accounted investees after tax
(337)
(212)
1,174
Impairments and reversal of impairments
10
14,007
9,173
47,454
Provision for legal settlement cost
29.2
3,607
Gain on acquisition
(898)
Gain on remeasurement of previous interest in Kroondal
8.2
(298)
Onerous contract provision
29.2
(124)
(817)
1,865
Occupational healthcare loss/(gain)
30
49
(76)
(365)
Change in estimate of environmental rehabilitation obligation
477
433
(56)
Settlement of metals borrowings liability
21.2
(7,645)
(4,308)
Deferred revenue recognised
31
(4,221)
(1,768)
(1,252)
Cash adjusting items:
Early termination penalty relating to onerous contract provision
29.2
(45)
(665)
Payment of settlement of dispute
29.2
(3,565)
Payment of occupational healthcare liability
30
(35)
(26)
(130)
Other non-cash and cash adjusting items
(293)
(540)
(281)
Total cash generated by operations
13,692
4,414
18,726