| Income statement |
|
|
|
|
|
|
| Gold income |
|
2,964 |
2,629 |
2,309 |
2,029 |
1,761 |
| Cost of sales |
|
(2,282) |
(2,309) |
(1,924) |
(1,526) |
(1,203) |
| (Loss) gain on non-hedge derivatives and other commodity contracts (1) |
(239) |
(135) |
(142) |
119 |
92 |
| Gross profit |
|
443 |
185 |
243 |
622 |
650 |
| Corporate administration and other expenses |
|
(84) |
(64) |
(51) |
(36) |
(25) |
| Market development costs |
|
(16) |
(13) |
(15) |
(19) |
(17) |
| Exploration costs |
|
(61) |
(45) |
(44) |
(38) |
(28) |
| Amortisation of intangible assets |
|
|
|
(31) |
(29) |
(28) |
| Other net operating expenses |
|
(18) |
(20) |
(12) |
(14) |
(8) |
| Operating special items |
|
(18) |
(77) |
12 |
(8) |
(23) |
| Operating profit (loss) |
|
246 |
(34) |
102 |
478 |
521 |
| Interest received |
|
32 |
25 |
49 |
42 |
39 |
| Exchange (loss) gain |
|
(2) |
(5) |
4 |
(3) |
(4) |
| Fair value adjustment on option component of convertible bond |
16 |
(32) |
27 |
|
|
| Finance costs and unwinding of decommissioning and restoration obligations |
(123) |
(108) |
(87) |
(53) |
(48) |
| Fair value (loss) gain on interest rate swaps |
|
|
(1) |
2 |
6 |
|
| Share of associates (loss) profit |
|
(1) |
(3) |
|
2 |
4 |
| Profit (loss) before taxation |
|
168 |
(158) |
97 |
472 |
512 |
| Taxation |
|
(180) |
35 |
41 |
(142) |
(165) |
| (Loss) profit after taxation from continuing operations |
|
(12) |
(123) |
138 |
330 |
347 |
| Discontinued operations |
|
|
|
|
|
|
| Loss for the year from discontinued operations |
|
(2) |
(36) |
(11) |
|
|
| (Loss) profit for the year |
|
(14) |
(159) |
127 |
330 |
347 |
| Allocated as follows |
|
|
|
|
|
|
| Equity shareholders of the parent |
|
(44) |
(182) |
108 |
312 |
332 |
| Minority interest |
|
30 |
23 |
19 |
18 |
15 |
| |
|
(14) |
(159) |
127 |
330 |
347 |
| Other financial data |
|
|
|
|
|
|
| Adjusted gross profit (2) |
$m |
1,058 |
470 |
441 |
559 |
638 |
| Cash gross profit (3) |
$m |
1,652 |
955 |
793 |
791 |
883 |
| Headline (loss) earnings |
$m |
(80) |
(97) |
141 |
318 |
376 |
| Adjusted headline earnings (4) |
$m |
413 |
201 |
271 |
282 |
368 |
| Adjusted gross margin |
% |
32 |
17 |
19 |
27 |
35 |
| Cash gross margin |
% |
49 |
34 |
34 |
38 |
48 |
| EBITDA (5) |
$m |
1,411 |
820 |
700 |
667 |
802 |
| EBITDA margin |
% |
42 |
29 |
30 |
32 |
44 |
| Interest cover (6) |
times |
11 |
7 |
7 |
13 |
17 |
| (Loss) earnings per ordinary share (cents) |
|
|
|
|
|
|
| Basic |
US cents |
(16) |
(69) |
43 |
140 |
150 |
| Diluted |
US cents |
(16) |
(69) |
43 |
139 |
149 |
| Headline |
US cents |
(29) |
(37) |
56 |
143 |
169 |
| Adjusted headline earnings (4) |
US cents |
151 |
76 |
108 |
127 |
166 |
| Dividends declared per ordinary share |
US cents |
62 |
36 |
56 |
101 |
146 |
| Weighted average number of shares |
million |
273 |
265 |
251 |
223 |
222 |
| Issued shares at year-end |
million |
280 |
265 |
264 |
223 |
223 |
| (1) |
Refer to Non-GAAP disclosure
note 3. |
| (2) |
Refer to Non-GAAP disclosure
note 2. |
| (3) |
Refer to Non-GAAP disclosure
note 6. |
| (4) |
Refer to Non-GAAP disclosure
note 1. |
| (5) |
Refer to Non-GAAP disclosure
note 7. |
| (6) |
Refer to Non-GAAP disclosure
note 8. |
|
| Balance sheet |
|
|
|
|
|
|
| Assets |
|
|
|
|
|
|
| Tangible and intangible assets |
|
6,469 |
6,307 |
6,323 |
3,176 |
2,654 |
| Cash and cash equivalents |
|
495 |
209 |
289 |
505 |
413 |
| Other assets |
|
1,979 |
1,777 |
1,590 |
1,176 |
897 |
| Total assets |
|
8,943 |
8,293 |
8,202 |
4,857 |
3,964 |
| Equity and liabilities |
|
|
|
|
|
|
| Shareholders equity and minority interests |
|
3,047 |
2,662 |
3,209 |
1,681 |
1,483 |
| Borrowings |
|
1,482 |
1,894 |
1,605 |
1,158 |
926 |
| Deferred taxation |
|
1,103 |
1,154 |
1,356 |
598 |
402 |
| Other liabilities |
|
3,311 |
2,583 |
2,032 |
1,420 |
1,153 |
| Total equity and liabilities |
|
8,943 |
8,293 |
8,202 |
4,857 |
3,964 |
| Other financial data |
|
|
|
|
|
|
| Equity (1) |
|
4,539 |
4,236 |
4,708 |
2,568 |
2,082 |
| Net capital employed (1) |
|
5,588 |
5,980 |
6,082 |
3,274 |
2,635 |
| Net debt (2) |
|
987 |
1,685 |
1,316 |
653 |
513 |
| Net asset value US cents per share (3) |
|
1,087 |
1,005 |
1,214 |
754 |
665 |
| Net tangible asset value US cents per share (4) |
|
939 |
854 |
1,049 |
569 |
497 |
| Market capitalisation (5) |
|
13,205 |
13,069 |
9,614 |
10,420 |
7,627 |
| Financial ratios |
|
|
|
|
|
|
| Return on equity (6) |
% |
9 |
4 |
7 |
12 |
21 |
| Return on net capital (7) |
% |
9 |
5 |
8 |
11 |
17 |
| Net debt to net capital employed |
% |
18 |
28 |
22 |
20 |
19 |
| Net debt to equity |
% |
22 |
40 |
28 |
25 |
25 |
| (1) |
Refer to Non-GAAP disclosure
note 9. |
| (2) |
Refer to Non-GAAP disclosure
note 10. |
| (3) |
Refer to Non-GAAP disclosure
note 11. |
| (4) |
Refer to Non-GAAP disclosure
note 12. |
| (5) |
Refer to Non-GAAP disclosure
note 16. |
| (6) |
Refer to Non-GAAP disclosure
note 13. |
| (7) |
Refer to Non-GAAP disclosure
note 14. |
|
| Dollar million |
2006 |
2005 |
2004(1) |
2003 |
2002 |
| Cash flow statement |
|
|
|
|
|
| Cash flows from operating activities |
|
|
|
|
|
| Cash generated from operations |
1,281 |
673 |
570 |
562 |
744 |
| Cash utilised by discontinued operations |
(1) |
(31) |
(2) |
|
|
| Taxation paid |
(143) |
(30) |
(34) |
(102) |
(131) |
| Net cash inflow from operating activities |
1,137 |
612 |
534 |
460 |
613 |
| Cash flows from investing activities |
|
|
|
|
|
| Capital expenditure |
(817) |
(722) |
(585) |
(363) |
(271) |
| Net proceeds from disposal and acquisition of mines and subsidiaries |
9 |
4 |
(171) |
10 |
51 |
| Net proceeds from disposal and acquisition of investments, associate |
|
|
|
|
|
| loans and acquisitions and disposal of tangible assets |
43 |
(18) |
(20) |
61 |
117 |
| Interest received |
25 |
18 |
37 |
33 |
32 |
| Net loans advanced (repaid) |
5 |
(1) |
83 |
(15) |
12 |
| Cash restricted for use |
(3) |
17 |
(6) |
|
|
| Utilised in hedge restructure |
|
(69) |
(123) |
|
|
| Net cash outflow from investing activities |
(738) |
(771) |
(785) |
(274) |
(59) |
| Cash flows from financing activities |
|
|
|
|
|
| Net proceeds from share issues |
507 |
9 |
3 |
10 |
7 |
| Net borrowings (repaid) proceeds |
(397) |
316 |
259 |
197 |
(114) |
| Finance costs |
(88) |
(74) |
(72) |
(40) |
(40) |
| Dividends paid |
(132) |
(169) |
(198) |
(314) |
(260) |
| Proceeds from hedge restructure |
|
|
40 |
|
|
| Net cash (outflow) inflow from financing activities |
(110) |
82 |
32 |
(147) |
(407) |
| Net increase (decrease) in cash and cash equivalents |
289 |
(77) |
(219) |
39 |
147 |
| Translation |
(3) |
(3) |
13 |
53 |
75 |
| Opening cash and cash equivalents |
209 |
289 |
495 |
413 |
191 |
| Closing cash and cash equivalents |
495 |
209 |
289 |
505 |
413 |
| Other financial data |
|
|
|
|
|
| Free cash flow (2) |
633 |
160 |
205 |
311 |
518 |
| (1) |
2004 comparatives re-stated to comply with current year disclosures. |
| (2) |
Refer to Non-GAAP disclosure
note 15. |
|