REVIEWED GROUP RESULTS
For the year ended 30 June 2006


Cash Flow Statement

(Rand million unless otherwise stated)

  Reviewed year to 30 June 2006 Audited year to 30 June 2005

Cash flow from operating activities 167 205
Cash flow from investing activities (121) (137)
Cash flow from financing activities (4) 10
 
Net movement in cash and cash equivalents 42 78
Cash and cash equivalents at beginning of period 301 223
 
Cash and cash equivalents at end of period 343 301

Notes

- There are no material contingent liabilities or assets at 30 June 2006

Capital commitments at 30 June 2006 Rm
Contracted 78
Authorised, not contracted 72
 
  150
 

- In terms of the Articles of Association, the company’s borrowing facilities are unlimited.

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