Consolidated statement of cash flows
for the year ended June 30
Download (EXCEL) |
Note | 2016 R’000 |
2015 Re-presented R’000 |
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Cash flows from operating activities | 3 148 537 | 6 434 014 | ||||||||
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Cash generated by operations | 8 | 7 033 769 | 6 034 196 | |||||||
Finance income | 194 617 | 75 757 | ||||||||
Finance charges | 9 | (1 045 988) | (754 947) | |||||||
Taxation paid | 10 | (1 191 426) | (1 318 284) | |||||||
Distributions to shareholders | 11 | (3 277 746) | (1 940 396) | |||||||
Net operating cash flows from discontinued operations | 5 | 1 435 311 | 4 337 688 | |||||||
Cash effects of investment activities | (5 646 310) | (6 239 094) | ||||||||
Amounts repaid by associates | 1 929 | 32 | ||||||||
Proceeds on disposal of investments | 645 077 | 243 159 | ||||||||
Investments acquired | (626 360) | (520 496) | ||||||||
Additions to property, plant and equipment | (3 023 194) | (1 989 024) | ||||||||
Additions to vehicle rental fleet | (1 475 509) | (1 454 752) | ||||||||
Additions to intangible assets | (117 491) | (161 578) | ||||||||
Proceeds on disposal of property, plant and equipment | 619 132 | 369 536 | ||||||||
Proceeds on disposal of vehicle rental fleet | 1 397 514 | 1 367 388 | ||||||||
Proceeds on disposal of intangible assets | 3 966 | 2 139 | ||||||||
Acquisition of businesses, subsidiaries and associates | 12 | (865 108) | (932 337) | |||||||
Proceeds on disposal of interests in subsidiaries and associates, and disposal and closure of businesses | 13 | 57 590 | 372 401 | |||||||
Net investing cash flows from discontinued operations | 5 | (2 263 856) | (3 535 562) | |||||||
Cash effects of financing activities | 1 577 560 | 167 118 | ||||||||
Proceeds from issue of shares – Company | 82 506 | 104 312 | ||||||||
Sale of treasury shares | 1 265 277 | 540 385 | ||||||||
Borrowings raised | 2 434 616 | 6 095 383 | ||||||||
Borrowings repaid | (3 376 015) | (5 225 640) | ||||||||
Net financing cash flows from discontinued operations | 5 | 1 171 176 | (1 347 322) | |||||||
Net increase (decrease) in cash and cash equivalents | (920 213) | 362 038 | ||||||||
Cash and cash equivalents at beginning of year | 5 818 512 | 5 560 585 | ||||||||
Effects of exchange rate fluctuations on cash and cash equivalents | 824 389 | (104 111) | ||||||||
Cash disposed from discontinued operations | (3 016 462) | |||||||||
Cash and cash equivalents at end of year | 2 706 226 | 5 818 512 | ||||||||
Cash and cash equivalents comprise | ||||||||||
Cash and cash equivalents | 24 | 3 911 927 | 7 812 877 | |||||||
Bank overdrafts included in short-term portion of borrowings | 29 | (1 205 701) | (1 994 365) | |||||||
2 706 226 | 5 818 512 | |||||||||