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Financial Statements

Condensed consolidated cashflow statement
for the year ended

  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