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Condensed consolidated cash flow statement

for the year ended 30 June 2010

    Audited   Audited  
    Annual   Annual  
  R millions 30.6.10   30.6.09  
  Cash generated by operations before        
     working capital changes 2 382   3 928  
  Cash outflow from headlease and other        
     property activities (47)   (25)  
  Increase in working capital (931)   (1 290)  
  Cash generated from operations 1 404   2 613  
  Interest and taxation paid (net) (713)   (1 054)  
  Operating cash flow 691   1 559  
  Dividends paid to owners of the parent (572)   (625)  
  Dividends paid to non-controlling interests (95)   (72)  
  Cash flow from operating activities 24   862  
  Property, plant and equipment and intangible assets (net) (943)   (2 262)  
  Acquisition of associates (341)   -  
  Acquisition of non-controlling interests (59)   (390)  
  Business disposals/acquisitions (net) 438   -  
  Other investments (net) 183   162  
  Other (net) (14)   5  
  Cash flow from investing activities (736)   (2 485)  
  Net movement in borrowings 377   663  
  Treasury share acquisitions/disposals (net) 19   (251)  
  Cash flow from financing activities 396   412  
  Net decrease in cash and cash equivalents (316)   (1 211)  
  Net cash and cash equivalents at beginning of year 2 876   4 278  
  Effect of foreign exchange rates 6   (191)  
  Net cash and cash equivalents at end of year 2 566   2 876