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Condensed Group Cash Flow Statement

  Six months ended  
  30 November   30 November  
  2007   2006  
  Actual   Restated  
  Reviewed   Unaudited  
  R’000   R’000  
Cash flows from operating activities 141 867   151 601  
Cash received from customers 5 500 141   3 755 299  
Cash paid to suppliers and employees (5 346 851)   (3 592 756)  
Cash generated from operations 153 290   162 543  
Interest received 66 534   36 404  
Interest paid (43 858)   (23 356)  
Taxation paid (34 099)   (23 990)  
Cash flows from investing activities (186 451)   (16 760)  
Net proceeds on disposal of intangible assets   263  
Net purchase of intangible assets (8 382)    
Purchase of financial assets at fair value through profit and loss (780)   (693)  
Proceeds on disposal of available for sale financial assets 1 157    
Acquisition of subsidiaries (183 993)   (3 900)  
Net loans repaid by/(advanced to) associates 12 283   (1 210)  
Dividends received 120   135  
Net purchase of fixed assets (6 856)   (11 355)  
Cash flows from financing activities 677 672   141 712  
Proceeds from/(repayment of) interest bearing borrowings (562 749)   111 404  
Purchase of minority loan claims (25 234)    
Proceeds from/(repayment of) non-interest bearing borrowings (16 070)   30 308  
Proceeds from issue of shares 1 321 571    
Listing costs paid (39 846)    
         
Increase in cash and cash equivalents 633 088   276 553  
Cash and cash equivalents at the beginning of the period 1 090 044    
Cash and cash equivalents acquired in subsidiaries 5 211   717 763  
Cash and cash equivalents at the end of the period 1 728 343   994 316