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CONSOLIDATED CASH FLOW STATEMENT

 
Half-year ended
 
Year ended  
   
31 December  
31 December  
30 June  
   
2008  
2007  
2008  
   
Unaudited  
Unaudited  
Audited  
   
R 000  
R’000  
R’000  
Cash generated from operations  
2 911 436  
714 824  
5 657 688  
Cash utilised in investing activities  
(905 399) 
(925 423) 
(3 823 406) 
Cash (utilised)/generated by financing activities  
(38 435) 
205 136  
(154 782) 
Increase/(decrease) in cash for the period  
1 967 602  
(5 463) 
1 679 500  
Cash resources at beginning of period  
1 988 957  
309 457  
309 457  
Cash resources per balance sheet  
3 956 559  
 
303 994  
 
1 988 957