v3.26.1
Cash flow from operations (Tables)
12 Months Ended
Jun. 30, 2026
Cash flow from operations  
Schedule of cash flow from operations

2026

2025

2024

for the year ended 30 June

  ​ ​ ​

Note

  ​ ​ ​

Rm

  ​ ​ ​

Rm

  ​ ​ ​

Rm

Earnings/(loss) before interest and tax (EBIT/(LBIT))

25 690

18 819

(27 305)

Adjusted for

 

  ​

 

 

 

share of profits of equity accounted investments

 

 

(79)

 

(1 623)

 

(1 758)

equity-settled share-based payment

 

32

 

918

 

914

 

986

depreciation and amortisation

 

13 602

 

14 002

 

15 644

effect of remeasurement items

 

8

 

17 320

 

19 645

 

75 414

movement in long-term provisions

 

 

 

income statement charge

 

29

 

(26)

 

(2 807)

 

(651)

utilisation

 

29

 

(1 267)

 

(769)

 

(459)

movement in short-term provisions

 

(240)

 

87

 

280

movement in post-retirement benefits

 

389

 

272

 

373

translation effects

3 278

799

673

write-down of inventories to net realisable value

 

1 321

 

171

 

370

movement in financial assets and liabilities

 

(2 466)

 

(3 063)

 

(4 588)

movement in other receivables and payables

 

(1 143)

 

334

 

(1 119)

other non-cash movements1

 

(603)

 

(254)

 

(698)

 

56 694

 

46 527

 

57 162

1

Other non-cash movements include movements in deferred income, expected credit losses and long-term prepaid expenses.