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 Highlights Consolidated income  statement Consolidated balance sheet  Condensed statement of  changes in equity  Condensed cash flow  statement   Notes  Commentary  Dividend declaration    Board of Directors  Auditors Administration  Press releases    Downloads  
 Condensed Cash Flow Statement
 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)
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