Summarised consolidated statement of cash flows

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    Audited 
30 June 2017 
R000 
   Audited 
30 June 2016 
R000 
 
Cash flows from operating activities  319 908     (210 672)   
    Cash generated from operations  2 159 602     1 709 767    
    Interest received  266 423     191 515    
    Interest paid  (441 049)    (692 192)   
    Taxation paid  (4 751)    (15 466)   
    Dividends paid  (1 660 317)    (1 404 296)   
Cash flows from investing activities  669 846     (1 716 759)   
Cash flows from financing activities  (44 833)    1 989 143    
Net increase in cash and cash equivalents  944 921     61 712    
Cash (disposed)/acquired with subsidiary  (4 006)    48 964    
Translation effects on cash and cash equivalents of foreign entities  (12 336)    5 002    
Cash reallocated to assets held-for-sale  (1 786)    (562)   
Cash and cash equivalents at beginning of year  198 957     83 841    
Cash and cash equivalents at end of year  1 125 750     198 957