SUMMARISED GROUP STATEMENT OF CASH FLOWS

    30 November   30 November  
    2010   2009  
    Reviewed   Reviewed  
  six months ended R’000   R’000  
  Cash flows from operating activities (447 079)   316 434  
  Cash flows from investing activities (42 924)   (34 958)  
  Cash flows from financing activities 203 363   (23 730)  
  (Decrease)/increase in cash and cash equivalents (286 640)   257 746  
  Cash and cash equivalents at the beginning of the period 2 054 902   1 756 806  
  Cash and cash equivalents disposed of/acquired in subsidiaries 384   (46 209)  
  Translation difference (6 586)   (8 594)  
  Cash and cash equivalents at the end of the period 1 762 060   1 959 749