Condensed consolidated statement of cash flows

 

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    Unaudited
31 December
2016
R000
   Unaudited
31 December
2015
R000
  Audited
30 June
2016
R000
 
Cash flows from operating activities 145 241   80 549   (210 672)    
   Cash generated from operations 1 014 952   945 363   1 709 767  
   Interest received 272 912   89 945   191 515  
   Interest paid (343 716)   (263 416)   (692 192)  
   Taxation paid     (9 496)   (15 466)  
   Dividends paid (798 907)   (681 847)   (1 404 296)  
Cash flows from investing activities 492 721   (1 330 044)   (1 716 759)  
Cash flows from financing activities (83 804)   1 287 866   1 989 143  
Net increase in cash and cash equivalents 554 158   38 371   61 712  
Cash acquired with subsidiary     48 964   48 964  
Translation effects on cash and cash equivalents of foreign entities (5 441)   6 144   5 002  
Cash reallocated to assets held-for-sale (3 117)   (1 133)   (562)  
Cash and cash equivalents at beginning of period/year 198 957   83 841   83 841  
Cash and cash equivalents at end of period/year 744 557   176 187   198 957