for the year ended 30 June 2005
      GROUP   COMPANY
      2005  2004    2005  2004 
  NOTE   R000's  R000's    R000's  R000's 
Cash flows from operating activities              
Cash receipts from customers     1 032 844  801 406    568   
Cash paid to suppliers and employees     (692 886) (563 879)     (4 112)
Cash generated from/(utilised by) operations 22   339 958  237 527    568  (4 112)
Management fees received            1 500  1 300 
Interest received     7 017  6 814      1 461 
Dividends received     5 030  2 877    160 512  29 897 
Dividends paid 23   (60 432) (26 414)   (63 503) (28 016)
Taxation paid 24   (85 077) (64 510)   (7 475) (3 280)
Interest paid     (1 249) (1 482)      
Net cash flows from operating activities     205 247  154 812    91 602  (2 750)
Cash flows from investing activities              
Additions to property, plant and equipment     (133 229 (92 012)      
Investment in unlisted equity instruments     (3 018)        
Utilisation of other long-term assets       102       
Increase in treasury shares     (6 559) (8 050)      
Proceeds on disposal of property       9 771       
Proceeds on disposal of plant and equipment     5 549  2 142       
Net cash flows utilised by investing activities     (137 257) (88 047)      
Cash flows from financing activities              
External proceeds from a rights issue by subsidiary     8 284         
Increase in amounts owing (by)/to
subsidiaries
          (114 602) 218 
Increase/(decrease) of long-term loans
(includes short-term portion)
    1 447  (1 468)      
Net cash flows from/(utilised by) financing
activities
    9 731  (1 468)   (114 602) 218 
Movement in cash and cash equivalents
for the year
    77 721  65 297    (23 000) (2 532)
Cash and cash equivalents at beginning
of year
 
    222 852  157 555    68 500  71 032 
Cash and cash equivalents at end of year  18   300 573  222 852    45 500  68 500 
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