Company statement of cash flows
for the year ended June 30
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Note |
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2014
R’000 |
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| Cash inflow from operating activities |
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1 130 450 |
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880 276 |
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| Cash generated by operations |
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3 014 969 |
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2 669 719 |
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| Taxation paid |
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(22 701) |
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(3 778) |
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| Dividends paid |
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(1 861 818) |
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(1 785 665) |
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| Cash effects of investment activities |
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(1 205 572) |
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(1 004 317) |
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| Increase in advances to subsidiaries |
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(1 027 126) |
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(135 697) |
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| Decrease in advances to associates |
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– |
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10 260 |
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| Acquisition of subsidiaries and associates |
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(241 247) |
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(879 230) |
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| Proceeds on disposal of subsidiaries and associates |
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62 801 |
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350 |
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| Cash effects of financing activities |
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| Proceeds from share issues |
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104 311 |
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55 872 |
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| Net increase (decrease) in cash and cash equivalents |
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29 189 |
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(68 169) |
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| Cash and cash equivalents at beginning of year |
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31 362 |
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99 531 |
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| Cash and cash equivalents at end of year |
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60 551 |
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31 362 |
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