INTERIM RESULTS
For the six months 31 December 2004


Cash Flow Statement

(Rand 000's unless otherwise stated)

  Unaudited
six months to
31 December 2004
  Unaudited
six months to
31 December 2003
  Audited
year to
30 June 2004

Cash flow from operating activities

49 339

52 361 154 812
Cash flow from investing activities

(59 881)

(49 879) (88 047)
Cash flow from financing activities

8 459

4 (1 468)
 
Net movement in cash and cash equivalents

(2 083)

2 486 65 297
Cash and cash equivalents at beginning of period

222 852

157 555 157 555
 
Cash and cash equivalents at end of period

220 769

160 041 222 852

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