SUMMARISED GROUP STATEMENT OF CASH FLOWS

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  Six months
ended
30 November
2011
Unaudited
R’000
  Six months
ended
30 November
2010
Unaudited
R’000
  Year
ended
31 May
2011
Audited
R’000
 
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