Company statement of cash flows

for the year ended June 30

 

  Note   2015
R’000
    2014
R’000
 
Cash inflow from operating activities     1 130 450     880 276  
   Cash generated by operations 2   3 014 969     2 669 719  
   Taxation paid 3   (22 701)     (3 778)  
   Dividends paid     (1 861 818)     (1 785 665)  
Cash effects of investment activities     (1 205 572)     (1 004 317)  
   Increase in advances to subsidiaries     (1 027 126)     (135 697)  
   Decrease in advances to associates     –     10 260  
   Acquisition of subsidiaries and associates 4   (241 247)     (879 230)  
   Proceeds on disposal of subsidiaries and associates 5   62 801     350  
Cash effects of financing activities              
   Proceeds from share issues     104 311     55 872  
Net increase (decrease) in cash and cash equivalents     29 189     (68 169)  
Cash and cash equivalents at beginning of year     31 362     99 531  
Cash and cash equivalents at end of year     60 551     31 362  
Registered office South Africa
Bidvest House
18 Crescent Drive
Melrose Arch
Melrose
Johannesburg
2196
South Africa
 
Website: www.bidvest.com
Telephone: +27 (11) 772 8700
Email: info@bidvest.co.za

 
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