Half-year ended | Year ended | ||
31 December 2011 Unaudited |
31 December 2010 Unaudited |
30 June 2011 Audited |
|
R000 | R000 | R000 | |
Cash generated from operations | 1 720 406 | 1 052 720 | 3 521 328 |
Cash utilised in investing activities | (3 690 782) | (1 064 135) | (2 193 127) |
Cash generated by/(utilised in) financing activities | 2 782 572 | (51 735) | (901 376) |
Increase/(decrease) in cash for the period | 812 196 | (63 150) | 426 825 |
Cash resources at beginning of period | 2 334 734 | 1 907 909 | 1 907 909 |
Cash resources per statement of financial position | 3 146 930 | 1 844 759 | 2 334 734 |