| |
Six months
ended
30 November
2011
Unaudited
R000 |
|
Six months
ended
30 November
2010
Unaudited
R000 |
|
Year
ended
31 May
2011
Audited
R000 |
|
| Cash flows from operating activities |
794 644 |
|
(447 079) |
|
427 663 |
|
| Cash flows from investing activities |
(204 684) |
|
(42 540) |
|
(147 438) |
|
| Cash flows from financing activities |
(517 629) |
|
203 363 |
|
(100 004) |
|
| Increase/(decrease) in cash and cash equivalents |
72 331 |
|
(286 256) |
|
180 221 |
|
| Cash and cash equivalents at the beginning of the year |
2 226 170 |
|
2 054 902 |
|
2 054 902 |
|
| Translation difference |
7 400 |
|
(6 586) |
|
(8 953) |
|
| Cash and cash equivalents at the end of the period |
2 305 901 |
|
1 762 060 |
|
2 226 170 |
|