Consolidated statement of cash flows
| Download (EXCEL) |
for the year ended 30 June
| Notes | 2017 R'000 |
2016 R'000 |
|||||
|---|---|---|---|---|---|---|---|
| Cash flows from operating activities | 2 816 458 | 3 148 537 | |||||
| Cash generated by operations | 8 | 6 879 769 | 7 033 769 | ||||
| Finance income | 232 069 | 194 617 | |||||
| Finance charges | 9 | (1 262 484) | (1 045 988) | ||||
| Taxation paid | 10 | (1 373 927) | (1 191 426) | ||||
| Distributions to shareholders | 11 | (1 658 969) | (3 277 746) | ||||
| Net operating cash flows from discontinued operations | 5 | – | 1 435 311 | ||||
| Cash effects of investment activities | (1 621 011) | (5 646 310) | |||||
| Amounts repaid by associates | – | 1 929 | |||||
| Proceeds on disposal of investments | 935 776 | 645 077 | |||||
| Investments acquired | (466 306) | (626 360) | |||||
| Additions to property, plant and equipment | (2 363 499) | (3 023 194) | |||||
| Additions to vehicle rental fleet | (1 560 241) | (1 475 509) | |||||
| Additions to intangible assets | (159 421) | (117 491) | |||||
| Proceeds on disposal of property, plant and equipment | 468 242 | 619 132 | |||||
| Proceeds on disposal of vehicle rental fleet | 1 667 640 | 1 397 514 | |||||
| Proceeds on disposal of intangible assets | 18 355 | 3 966 | |||||
| Acquisition of businesses, subsidiaries and associates | 12 | (203 496) | (865 108) | ||||
| Proceeds on disposal of interests in subsidiaries and associates, and disposal and closure of businesses | 13 | 41 939 | 57 590 | ||||
| Net investing cash flows from discontinued operations | 5 | – | (2 263 856) | ||||
| Cash effects of financing activities | (21 223) | 1 577 560 | |||||
| Proceeds from issue of shares – Company | – | 82 506 | |||||
| Sale of treasury shares | 274 229 | 1 265 277 | |||||
| Borrowings raised | 2 902 588 | 2 434 616 | |||||
| Borrowings repaid | (3 198 040) | (3 376 015) | |||||
| Net financing cash flows from discontinued operations | 5 | – | 1 171 176 | ||||
| Net increase (decrease) in cash and cash equivalents | 1 174 224 | (920 213) | |||||
| Cash and cash equivalents at beginning of year | 2 706 226 | 5 818 512 | |||||
| Effects of exchange rate fluctuations on cash and cash equivalents | 5 967 | 824 389 | |||||
| Cash disposed from discontinued operations | 5 | – | (3 016 462) | ||||
| Cash and cash equivalents at end of year | 3 886 417 | 2 706 226 | |||||
| Cash and cash equivalents comprise | |||||||
| Cash and cash equivalents | 24 | 5 132 550 | 3 911 927 | ||||
| Bank overdrafts included in short-term portion of borrowings | 29 | (1 246 133) | (1 205 701) | ||||
| 3 886 417 | 2 706 226 | ||||||

