Condensed cash flow statement
  for the six months ended 30 June 2010
  Rand thousands 
Six months  
ended  
30 June 2010  
Unaudited  
Six months  
ended  
30 June 2009  
Unaudited  
Year ended  
31 December  
2009  
Audited  
  Cash retained from operating activities
223,802  
322,423  
61,637  
  - Cash flows from operations
41,041  
194,960  
(117,151) 
  - Dividend and interest income
102,091  
140,603  
226,895  
  - Taxation paid
80,670  
(13,140) 
(48,107) 
  Dividends paid
-  
(17,051) 
(17,051) 
  Cash effect of investing activities
128,207  
(118,726) 
(135,700) 
  Net movement in cash and cash equivalents
352,009  
186,646  
(91,114) 
  Cash and cash equivalents at beginning of the period
1,032,696  
1,123,810  
1,123,810  
  Cash and cash equivalents at end of the period
1,384,705  
1,310,456  
1,032,696