| |
December |
|
December |
| Rm |
2008 |
|
2007 |
| Cash generated by operations |
14 557 |
|
12 453 |
| Change in funds for operating activities |
(10 674) |
|
(10 691) |
| Net cash generated by operating activities before taxation |
3 883 |
|
1 762 |
| Taxation paid |
(2 233) |
|
(2 419) |
| Cashflows from/(utilised by) operating activities |
1 650 |
|
(657) |
| Cashflows utilised by investing activities |
(999) |
|
(2 063) |
| Cashflows (utilised by)/from financing activities |
(685) |
|
2 122 |
| Net decrease in cash and cash equivalents |
(34) |
|
(598) |
| Cash and cash equivalents at the beginning of the year* |
18 708 |
|
19 306 |
| Cash and cash equivalents at the end of the year* |
18 674 |
|
18 708 |
| |
|
|