| Condensed cash flow statement for the six months ended 30 June 2010 |
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| 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 |