CURRENTLY VIEWING: AUDITED FINANCIAL RESULTS » CONSOLIDATED CASH FLOW STATEMENT  
 
CONSOLIDATED CASH FLOW STATEMENT   
 
Year ended  
Year ended  
 
30 June  
30 June  
 
2010  
2009  
 
Reviewed  
Audited  
 
R’000  
R’000  
  Cash generated from operations 
1 329 208  
3 670 885  
  Cash utilised in investing activities 
(1 797 439) 
(1 620 690) 
  Cash utilised by financing activities 
(672 927) 
(990 085) 
  (Decrease)/increase in cash for the year 
(1 141 158) 
1 060 110  
  Cash resources at beginning of year 
3 049 067  
1 988 957  
  CASH RESOURCES PER STATEMENT OF FINANCIAL POSITION 
1 907 909  
3 049 067