(Rand 000's unless otherwise stated) |
| |
Reviewed year to 30 June 2004 |
Audited year to 30 June 2003 |
|
| Cash flow from operating activities |
154 812 |
126 366 |
| Cash flow from investing activities |
(88 047) |
(67 984) |
| Cash flow from financing activities |
(1 468) |
7 395 |
| |
|
| Net movement in cash and cash equivalents |
65 297 |
65 777 |
| Cash and cash equivalents at beginning of period |
157 555 |
91 778 |
| |
|
| Cash and cash equivalents at end of period |
222 852 |
157 555 |
|