(Rand 000's unless otherwise stated) |
|
Unaudited
six months to
31 December 2005 |
Unaudited
six months to
31 December 2004 |
Unaudited
year to
30 June 2005 |
|
Cash flow from operating activities |
43 733 |
49 865 |
206 091 |
Cash flow from investing activities |
(53 884) |
(60 407) |
(138 101) |
Cash flow from financing activities |
(4 188) |
8 459 |
9 731 |
|
Net movement in cash and cash equivalents |
(14 339) |
(2 083) |
77 721 |
Cash and cash equivalents at beginning of period |
300 573 |
222 852 |
222 852 |
|
Cash and cash equivalents at end of period |
286 234 |
220 769 |
300 573 |
|