| Rand thousands | Reviewed at 30/06/06 |
Reviewed at 30/06/05 Restated |
Audited at 31/12/05 |
|
| Cash retained from operating activities | 269,354 |
209,786 |
141,571 |
|
| Cash generated from underwriting activities | 67,150 |
183,818 |
197,269 |
|
| Net increase in working capital | 152,174 |
(52,229) |
(81,658) |
|
| Dividends, interest and rental received | 95,197 |
86,386 |
164,737 |
|
| Taxation paid | (45,167) |
(8,189) |
(138,777) |
|
| Dividends paid | (73,077) |
(337,372) |
(361,731) |
|
| Cash effect of investing activities | 58,733 |
(82,619) |
89,476 |
|
| Net increase/(decrease) in cash and | ||||
| cash equivalents | 255,010 |
(210,205) |
(130,684) |