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 | ||||
