SIMMER AND JACK MINES, LIMITED

(Incorporated in the Republic of South Africa) (Registration number 1924/007778
/06)

Share code: SIM ISIN: ZAE000006722

("the Group")

UNAUDITED INTERIM RESULTS FOR THE SIX MONTHS ENDED 30 SEPTEMBER 2003 AND

WITHDRAWAL OF CAUTIONARY ANNOUNCEMENT

ABRIDGED CONSOLIDATED INCOME STATEMENTS

                                         Six months     Six months      Audited
                                                                               
                                              ended          ended   Year ended
                                                                               
                                       30 September   30 September     31 March
                                                                               
                                               2003           2002         2003
                                                                               
                                              R'000          R'000        R'000
                                                                               
Revenue                                      18 837         28 728       51 909
                                                                               
Operating costs                            (26 710)       (25 176)     (44 200)
                                                                               
Gross operating (loss)/profit               (7 873)          3 552        7 709
                                                                               
Corporate expenses                          (1 006)          (706)      (2 393)
                                                                               
Operating (loss)/profit                     (8 879)          2 846        5 316
                                                                               
Income from investments                          63            344          602
                                                                               
Net finance charges                         (2 633)        (2 184)      (4 634)
                                                                               
(Loss)/Profit for period                   (11 449)          1 006        1 284

ABRIDGED CONSOLIDATED BALANCE SHEETS

ASSETS                                                                         
                                                                               
Non-current assets                           63 481         56 223       62 221
                                                                               
Mining assets                                62 083         54 722       60 677
                                                                               
Financial assets                              1 200          1 200        1 200
                                                                               
Environmental Rehabilitation Trust              198            301          344
Fund                                                                           
                                                                               
Current assets                                5 231         10 738        6 312
                                                                               
Cash and cash equivalents                       346          4 109        1 015
                                                                               
Other current assets                          4 885          6 629        5 297
                                                                               
                                             68 712         66 961       68 533

EQUITY AND LIABILITIES

Equity capital and accumulated               24 951         36 122       36 400
loss                                                                           
                                                                               
Shareholders" interest                       24 950       36 121 3        6 399
                                                                               
Minority shareholders" interest                   1              1            1
                                                                               
Non-current liabilities                      37 594         25 494       27 026
                                                                               
Interest bearing borrowings                     431            682          310
                                                                               
Loan from holding company                    36 524         24 236       26 077
                                                                               
Environmental Rehabilitation                    639            576          639
provision                                                                      
                                                                               
Current liabilities                           6 167          5 345        5 107
                                                                               
Interest bearing borrowings                     382              -          259
                                                                               
Other current liabilities                     5 785          5 345        4 848
                                                                               
                                             68 712         66 961       68 533
                                                                               
Shares in issue at period-end               215 432        215 432      215 432
("000)                                                                         
                                                                               
Net asset value per share (cents)              11,6           16,8         16,9
                                                                               
Headline earnings and attributable                                             
                                                                               
earnings per share (cents)                    (5,3)            0,5          0,6
                                                                               
Based on weighted average number                                               
                                                                               
of shares in issue ("000)                   215 432        215 432      215 432

ABRIDGED CONSOLIDATED CASH FLOW STATEMENTS

Cash flows from operating                   (5 553)          4 863        6 716
activities                                                                     
                                                                               
Cash flows from investing                   (3 210)        (4 483)     (13 237)
activities                                                                     
                                                                               
Cash flows from financing                     7 712        (2 487)        1 320
activities                                                                     
                                                                               
Net decrease in cash and cash               (1 051)        (2 107)      (5 201)
equivalents                                                                    
                                                                               
Cash and cash equivalents at                                                   
beginning                                                                      
                                                                               
of period                                     1 015          6 216        6 216
                                                                               
Cash and cash equivalents at end                                               
                                                                               
of period                                      (36)          4 109        1 015

STATEMENT OF CHANGES IN EQUITY

                                Share        Share     Accumulated        Total
                              capital      premium            loss             
                                                                               
                                R'000        R'000           R'000        R'000
                                                                               
Balance at 1 April 2002         4 307      106 543        (75 735)       35 115
                                                                               
Profit for the period               -            -           1 284        1 284
                                                                               
Balance at 31 March 2003        4 307      106 543        (74 451)       36 399
                                                                               
Loss for period                     -            -        (11 449)     (11 449)
                                                                               
Balance at 30 September         4 307      106 543        (85 900)       24 950
2003                                                                           

Notes:

The results are prepared on the historical cost basis. The accounting policies
adopted by the Group are in accordance with South African Statements of
Generally Accepted Accounting Practice and are consistent with those of the
previous year.

Revenue was down due to lower gold production as a result of lower grade and a
lower Rand gold price. The low grade is of a temporary nature and remedial
steps are being taken to improve profitability.

Withdrawal of cautionary announcement

Shareholders are referred to the cautionary announcement that accompanied the
recent trading update published on 5 December 2003. With the publication of
these results, the cautionary is hereby withdrawn.

By order of the Board

Consolidated Mining Management Services Limited

Secretaries

Johannesburg

18 December 2003

Transfer Secretaries                                                           
                                                                               
South Africa                            United Kingdom                         
                                                                               
Computershare Limited                   Capita Registrars                      
                                                                               
Ground Floor                            The Registry                           
                                                                               
70 Marshall Street                      34 Beckenham Road                      
                                                                               
Johannesburg, 2001                      Beckenham                              
                                                                               
Republic of South Africa                Kent, BR3 4TU                          

Sponsor                                                                        
                                                                               
River Sponsors                                                                 
                                                                               
Suite 202, Duncan Manor                                                        
                                                                               
150 Brooks Street, Brooklyn                                                    
                                                                               
Pretoria, 0181                                                                 
                                                                               
Republic of South Africa                                                       

Investor Relations                      Registered Office                      
                                                                               
George Poole                            28 Harrison Street                     
                                                                               
Tel: +2711 688 5100                     Johannesburg, 2001                     
                                                                               
Fax: +2711 836 3757                     Republic of South Africa               



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