Condensed Cash Flow Statement
  
  
 
Year ended  
Year ended  
 
31 December  
31 December  
 
2008  
2007  
  Rand thousands
(Reviewed) 
(Audited) 
  Cash retained from operating activities
440,491  
266,779  
  – Cash generated from operations
246,102  
208,948  
  – Dividends and interest income
274,155  
225,595  
  – Taxation paid
(79,766) 
(167,764) 
  Dividends paid
(85,257) 
(94,155) 
  Cash effect of investing activities
(272,842) 
(71,288) 
  Net (decrease)/increase in cash and cash equivalents and reclassifications
22,171  
(380,676) 
  Cash and cash equivalents at beginning of the year
1,101,638  
1,482,314  
  Cash and cash equivalents at end of the year
1,123,809  
1,101,638