Condensed consolidated statement of cash flows
for the year ended June 30
View as excel [XLS - 38KB]
R’000
2016 Reviewed |
2015 Re-presented# Reviewed |
||||||
Cash flows from operating activities | 3 148 537 | 6 434 014 | |||||
Operating profit | 4 430 125 | 5 364 026 | |||||
Dividends from associates | 138 689 | 85 366 | |||||
Acquisition costs | 8 416 | 30 630 | |||||
Depreciation and amortisation | 1 586 940 | 1 474 441 | |||||
Non-cash and other items | 573 022 | (195 336) | |||||
Cash generated by operations before changes in working capital | 6 737 192 | 6 759 127 | |||||
Changes in working capital | 296 577 | (724 931) | |||||
Cash generated by operations | 7 033 769 | 6 034 196 | |||||
Net finance charges paid | (851 371) | (679 190) | |||||
Taxation paid | (1 191 426) | (1 318 284) | |||||
Dividends paid by – Company | (3 149 552) | (1 767 532) | |||||
– subsidiaries | (128 194) | (172 864) | |||||
Net operating cash flows from discontinued operations | 1 435 311 | 4 337 688 | |||||
Cash effects of investment activities | (5 646 310) | (6 239 094) | |||||
Net additions to vehicle rental fleet | (77 995) | (87 364) | |||||
Net additions to property, plant and equipment | (2 404 062) | (1 619 488) | |||||
Net additions to intangible assets | (113 525) | (159 439) | |||||
Net acquisition of subsidiaries, businesses, associates and investments | (786 872) | (837 241) | |||||
Net investing cash flows from discontinued operations | (2 263 856) | (3 535 562) | |||||
Cash effects of financing activities | 1 577 560 | 167 118 | |||||
Proceeds from shares issued – Company | 82 506 | 104 312 | |||||
Disposal of treasury shares | 1 265 277 | 540 385 | |||||
Net borrowings raised (repaid) | (941 399) | 869 743 | |||||
Net financing cash flows from discontinued operations | 1 171 176 | (1 347 322) | |||||
Net increase (decrease) in cash and cash equivalents | (920 213) | 362 038 | |||||
Net cash and cash equivalents at the beginning of the year | 5 818 512 | 5 560 585 | |||||
Exchange rate adjustment from continuing operations | 9 686 | (5 498) | |||||
Exchange rate adjustment from discontinued operations | 814 703 | (98 613) | |||||
Cash disposed as part of Food unbundling | (3 016 462) | – | |||||
Net cash and cash equivalents at end of the year | 2 706 226 | 5 818 512 | |||||
Net cash and cash equivalents comprise: | |||||||
Cash and cash equivalents | 3 911 927 | 7 812 877 | |||||
Bank overdrafts shown as short-term portion of borrowings | (1 205 701) | (1 994 365) | |||||
2 706 226 | 5 818 512 |