Interim Group results for the six months ended 30 June 2004

Condensed cash flow statement
 
    Six months  Six months  Twelve months  
    ended  ended  ended  
Rand thousands   30 June 2004  30 June 2003  31 Dec 2003  
 
Cash retained from operating activities
  109 032  88 383  187 767  
Net decrease/(increase) in working capital
  26 501  48 446  (5 325) 
Dividends, interest and rental received
  72 933  73 695  150 350  
Taxation paid
  (35 302) (15 352) (91 411) 
Dividends paid
  (36 539) (18 269) (36 539) 
Cash effect of investing activities
  25 580  (43 480) 1 304  
Net increase in cash and cash equivalents
  162 205  133 423  206 146  
   
   
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