CURRENTLY VIEWING: Final Results for the year ended 30 June » Consolidated Cash Flow Statement | |
|
Year ended 30 June 2012 Reviewed R’000 |
Year ended 30 June 2011 Audited R’000 |
|
Cash generated from operations | 3 757 225 | 3 521 328 |
Cash utilised in investing activities | (2 318 977) | (2 193 127) |
Treasury shares acquired | (2 692 555) | – |
Proceeds on disposal of |
663 650 | – |
2 310 000 | – | |
Long term liabilities repaid | (713 900) | (894 555) |
Other financing activities | (15 740) | (6 821) |
Increase in cash for the year | 989 703 | 426 825 |
Cash resources at beginning of year | 2 334 734 | 1 907 909 |
Cash resources per statement of financial position | 3 324 437 | 2 334 734 |