Condensed Group statements of financial position

As at 31 December 2025

 

(Rand millions unless otherwise stated)
Unreviewed
six months to
31 December
2025
Unreviewed
six months to
31 December
2024
Restated*
Audited
year to
30 June
2025
Assets 
Non-current assets  6 110  6 316  6 180 
Property, plant and equipment  5 445  5 617  5 523 
Right-of-use assets  376  423  387 
Intangible assets  13  10 
Investments in associates and joint ventures  88  86  88 
Long-term financial assets  129  116  109 
Goodwill  26  25  26 
Deferred taxation  37  36  37 
Current assets  3 633  3 971  4 337 
Inventories  1 146  1 366  1 228 
Trade and other receivables  845  959*  854 
Cash and cash equivalents  1 486  1 590  2 169 
Financial assets at fair value through profit or loss  87  –  52 
Taxation receivable  69  56  34 
Non-current assets held for sale  93  45  35 
Total assets  9 836  10 332  10 552 
Equity and liabilities 
Share capital and reserves  7 585  8 068  8 388 
Stated capital  4 314  4 314  4 314 
Non-distributable reserves  (11)
Treasury shares  (1 253) (1 293) (1 291)
Share option reserve  152  215  201 
Retained earnings  4 127  4 540  4 861 
Non-controlling interests  256  289  297 
Non-current liabilities  753  679  687 
Lease liabilities  355  399  368 
Provision for rehabilitation costs  36  –  – 
Deferred taxation  362  280  319 
Current liabilities  1 498  1 585  1 477 
Trade and other payables  754  782*  702 
Provisions  131  182  182 
Interest-bearing loans  500  500  500 
Lease liabilities  69  70  68 
Taxation payable  44  51  25 
Total equity and liabilities  9 836  10 332  10 552 
* Refer to note 11.