Abridged statement of cash flows


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      Audited
30 June 2015
R000
   Audited
30 June 2014
R000
  
Cash flows from operating activities     97 774     218 169    
    Cash generated from operations     1 738 764     1 725 345    
    Interest received     105 084     65 645    
    Interest paid     (518 610)    (482 496)   
    Taxation paid     (2 553)    (7 607)   
    Debenture interest paid     (585 877)    (1 079 397)   
    Dividends paid     (639 034)    (3 321)   
Cash flows from investing activities     667 056     (1 392 333)   
Cash flows from financing activities     (752 412)    1 179 506    
Net increase in cash and cash equivalents     12 418     5 342    
Translation effects on cash and cash equivalents of foreign entities     (5 294)    145    
Cash reallocated to assets held for sale     (636)    (2 955)   
Cash and cash equivalents at beginning of year     77 353     74 821    
Cash and cash equivalents at end of year     83 841     77 353