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Condensed group cash flow statement

for the year ended

    Audited   Audited  
   
31 Dec 2009
 
31 Dec 2008
 
    Rm   Rm  
  Cash flows from operating activities 2 666   6 013  
  Cash generated from operations 12 622   14 519  
  Net finance costs paid (287)   (401)  
  Taxation paid (3 232)   (4 311)  
  Dividends paid (6 437)   (3 794)  
  Cash flows from investing activities (3 902)   (2 487)  
  Capital expenditure (3 996)   (2 563)  
  Proceeds from the disposal of non-current assets 39    
  Investments in associates and joint ventures (15)   (3)  
  Acquisition of business (115)    
  Other 185   79  
  Cash flows from financing activities (1 683)   (668)  
  Share issued 132   80  
  Purchase of treasury shares (60)    
  Dividends paid to minority shareholders (1 811)   (1 076)  
  Net interest-bearing borrowings raised 56   328  
           
  (Decrease)/increase in cash and cash equivalents (2 919)   2 858  
  Cash and cash equivalents at beginning of the year 3 810   952  
  Cash and cash equivalents at end of the year 891   3 810