Summarised Group statement of cash flows

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      Six months
ended
30 November
2013
Unaudited
R’000
  Six months
ended
30 November
2012
Unaudited
R’000
  Year
ended
31 May
2013
Audited
R’000
 
Cash flows from operating activities     742 291   (723 118)   (439 794)  
Cash flows from investing activities     (203 956)   (107 418)   (406 336)  
Cash flows from financing activities     (178 989)   (174 304)   (188 066)  
Increase/(decrease) in cash and cash equivalents     359 346   (1 004 840)   (1 034 196)  
Cash and cash equivalents at the beginning of the period     941 282   1 975 242   1 975 242  
Translation difference     (65)   (114)   236  
Cash and cash equivalents at the end of the period     1 300 563   970 288   941 282