CURRENTLY VIEWING: INTERIM RESULTS » CONSOLIDATED STATEMENT OF CASH FLOW   
 
CONSOLIDATED STATEMENT OF CASH FLOW
Half-year ended
Year ended  
31 December  
31 December  
30 June  
2010  
2009  
2010  
Unaudited  
Unaudited  
Audited  
 
R’000  
R’000  
R’000  
Cash generated from operations
1 052 720  
460  
1 329 208  
Cash utilised in investing activities
(1 064 135) 
(699 306) 
(1 797 439) 
Cash utilised by financing activities
(51 735) 
(102 949) 
(672 927) 
Decrease in cash for the period
(63 150) 
(801 795) 
(1 141 158) 
Cash resources at beginning of period
1 907 909  
3 049 067  
3 049 067  
CASH RESOURCES PER STATEMENT OF FINANCIAL POSITION
1 844 759  
2 247 272  
1 907 909