Condensed consolidated statement of cash flows

    Unaudited 
six months 
31 December 2018 
R000 
    Unaudited 
six months 
31 December 2017 
R000 
Audited 
12 months 
30 June 2018 
R000 
 
Cash flows from operating activities    (147 832)     (1 551) 37 689    
   Cash generated from operations    1 054 372      1 056 760  2 133 136    
   Interest received    54 133      85 525  283 289    
   Interest paid and capitalised    (282 721)     (279 974) (580 208)   
   Taxation paid    (2 288)     (1 669) (3 130)   
   Dividends paid    (971 328)     (862 193) (1 795 398)   
Cash flows from investing activities    75 414      322 698  104 745    
   Acquisition of and additions to investment property    (58 777)     (147 988) (263 640)   
   Additions to building appurtenances and tenant installations    (10 461)     (21 087) (52 104)   
   Proceeds on disposal of assets classified as held-for-sale        225 259  229 759    
   Increase in investment in South-Eastern Europe       (30 979)
   Advances of loans receivable from joint ventures    (60 394)     (3 189) (59 061)   
   Repayment of loans receivable from joint ventures    108 229      182 335  157 934    
   Dividends received    96 817      87 368  163 551    
   Increase in loans receivable          (40 715)   
Cash flows applied to financing activities    257 460      (349 991) (510 777)   
   Interest-bearing liabilities repaid    (3 446)     (335 089) (3 871 791)   
   Issue of shares          778 676    
   Interest-bearing liabilities raised    260 906      3 262  2 600 502    
   Purchase of Hyprop shares (long-term staff incentive scheme)          (18 164) (18 164)   
Net increase/(decrease) in cash and cash equivalents    185 042      (28 844) (368 343)   
Translation effects on cash and cash equivalents of foreign entities    587      (1 896) (41 914)   
Cash reallocated to assets held-for-sale        (843)   
Cash and cash equivalents at beginning of period/year    715 493      1 125 750  1 125 750    
Cash and cash equivalents at end of period/year    901 122      1 094 167  715 493