Assore - FINAL RESULTS 2009
     

CONSOLIDATED CASH FLOW STATEMENT

 
Year ended  
 
Year ended  
 
30 June 2009  
 
30 June 2008  
 
Reviewed  
 
Audited  
   
R’000  
 
R’000  
Cash generated from operations   
3 714 419  
 
5 691 607  
Cash utilised in investing activities   
(1 635 427) 
 
(3 857 325) 
Cash utilised by financing activities   
(1 018 882) 
 
(154 782) 
Increase in cash for the year   
1 060 110  
 
1 679 500  
Cash resources at beginning of year   
1 988 957  
 
309 457  
Cash resources per balance sheet   
3 049 067  
 
1 988 957