Summarised Group Statement of Cash Flows

six months ended 30 November 2009

           
    30 November 2009   30 November 2008  
    Reviewed   Reviewed  
    R’000   R’000  
  Cash fows from operating activities 316 434   421 142  
  Cash fows from investing activities (34 958)   (110 577)  
  Cash fows from financing activities (23 730)   7 554  
  Increase in cash and cash equivalents 257 746   318 119  
  Cash and cash equivalents at the beginning of the period 1 756 806   1 328 294  
  Cash and cash equivalents disposed of/acquired in subsidiaries (46 209)   29 733  
  Translation difference (8 594)   103  
  Cash and cash equivalents at the end of the period 1 959 749   1 676 249