CURRENTLY VIEWING: Results for the half-year ended 31 December 2011 » Consolidated Statement of Cash Flow

CONSOLIDATED STATEMENT OF CASH FLOW

  Half-year ended Year ended
  31 December
2011

Unaudited
31 December
2010
Unaudited
30 June
2011
Audited
  R’000 R’000 R’000
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