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Group structure
Our values
Financial highlights
Chairman’s statement
Operational review
Group review
Corporate governance
Directorate and administration
Group financial statements
Company financial statements
Subsidiaries
Analysis of shareholders
Shareholders’ spread
 
 
 
Company cash flow statements
for the year ended 30 June 2007
 
  Note   2007 
Rm’s 
  2006 
Rm’s 
Cash flows from operating activities          
Cash receipts from customers     —   
Cash paid to suppliers and employees     (1)   (1)
Cash generated from operations   (1)   — 
Management fees received      
Dividends received     112   133 
Dividends paid 10    (97)   (118)
Taxation paid 11    (10)   (8)
Net cash flows from operating activities      
Cash flows from investing activities     —    — 
Cash flows from financing activities          
Increase in amounts owing by subsidiaries     (9)   (33)
Net cash flows utilised by financing activities     (9)   (33)
Movement in cash and cash equivalents for the year     (2)   (24)
Cash and cash equivalents at beginning of year     21    45 
Cash and cash equivalents at end of year   19   21 
 
       
   
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