v3.26.1
Cash generated from operations (Details) - USD ($)
$ in Millions
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Statement of cash flows [abstract]    
Profit before taxation $ 3,609 $ 1,775
Adjusted for:    
Amortisation of tangible and right of use assets 600 558
Finance costs and unwinding of obligations 128 85
Environmental, rehabilitation, silicosis and other provisions (10) (46)
Impairment (reversal of impairment), derecognition of assets and (profit) loss on disposal 11 (26)
Other expenses (income) (non-cash portion) 31 82
Finance income (73) (71)
Share of associates and joint ventures’ profit (325) (63)
Gain on settlement of bonds (15) 0
Other non-cash movements (7) 8
Other exchange losses 8 56
Movements in working capital (161) (308)
Cash generated from operations 3,796 2,050
(Increase) decrease in inventories (43) 19
Increase in trade and other receivables (151) (186)
Increase (decrease) in trade and other payables 33 (141)
Movements in working capital $ (161) $ (308)