v3.26.3
CASH GENERATED FROM OPERATIONS (Tables)
12 Months Ended
Jun. 30, 2026
Cash flows from (used in) operating activities [abstract]  
Disclosure of cash generated by operations
Amounts in R million
Note
2026
2025
2024
Profit for the year
4,255.5
2,242.7
1,328.7
Adjusted for:
Income tax
17.1
1,627.0
824.4
488.2
Depreciation
9
477.2
459.2
270.4
Movement in gold in process and finished
inventories – Gold Bullion
5.1
(5.4)
(18.1)
(34.9)
Change in estimate of environmental rehabilitation provision
recognised in profit or loss
10
(13.1)
(98.0)
(11.6)
Environmental rehabilitation payments to reduce liabilities
without a related asset
—
—
(1.3)
Share-based payment expense
5.2
41.7
30.1
26.4
(Gain)/loss on disposal of property, plant and equipment
(0.3)
3.7
(0.6)
Loss on disposal of subsidiary
22
4.8
—
—
Insurance claim
—
—
(1.2)
Finance income
6
(245.5)
(223.8)
(280.8)
Finance expense
7
100.0
73.4
76.4
Other non-cash items
14.4
4.3
2.4
Operating cash flows before other changes
6,256.3
3,297.9
1,862.1
Changes in:
(219.8)
79.0
(123.8)
Trade and other receivables
(53.8)
110.4
(296.2)
Consumable stores and stock piles
(53.7)
(48.3)
(12.9)
Payment made under protest
24
(2.7)
(6.6)
(12.8)
Trade and other payables
(109.6)
23.5
198.1
Cash generated from operations
6,036.5
3,376.9
1,738.3