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Condensed group cash flow statement

for the period ended

    Reviewed   Restated   Restated  
    6 months   6 months   12 months  
    30 June   30 June   31 December  
  Rm 2010   2009   2009  
  Cash flows from operating activities 4 301   2 262   2 788  
  Cash generated from operations 9 499   7 636   12 744  
  Net finance costs paid (191)   (125)   (287)  
  Taxation paid (2 633)   (1 112)   (3 232)  
  Dividends paid (2 374)   (4 137)   (6 437)  
  Cash flows from investing activities (1 468)   (1 483)   (4 087)  
  Capital expenditure (1 457)   (1 500)   (3 996)  
  Proceeds from the disposal of non-current assets 1   23   39  
  Investments in associates and joint ventures (12)   (6)   (15)  
  Acquisition of business     (115)  
  Cash flows from flnancing activities (1 442)   530   (1 683)  
  Share capital issued 56   65   132  
  Purchase of treasury shares (103)   (53)   (60)  
  Dividends paid to non-controlling shareholders (663)   (1 164)   (1 811)  
  Net interest-bearing borrowings (repaid)/raised (732)   1 682   56  
               
  Increase/(decrease) in cash and cash equivalents 1 391   1 309   (2 982)  
  Cash and cash equivalents at beginning of period 891   3 810   3 810  
  Effects of exchange rates on cash and cash equivalents (18)   38   63  
  Cash and cash equivalents at end of period 2 264   5 157   891