Consolidated statement of cash flow – Final Results for the year ended 30 June 2016

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Consolidated statement of cash flow

R’000  Year ended 
30 June 2016 
Reviewed 
Year ended 
30 June 2015 
Audited 
Cash generated/(utilised) by operations 212 491  (962 774)
Cash retained from investing activities 862 431  817 093 
Other financing activities (311 192) 422 278 
Increase in cash for the year 763 730  276 597 
Cash resources at beginning of year 2 421 195  2 144 598 
Cash resources per statement of financial position 3 184 925  2 421 195