| |
Reviewed |
|
Reviewed |
|
Audited |
|
| |
30 Jun |
|
30 Jun |
|
31 Dec |
|
| Rm |
2010 |
|
2009 |
|
2009 |
|
| Cash generated by operations |
7 218 |
|
7 327 |
|
14 915 |
|
| Change in funds for operating activities |
(9 708) |
|
(5 032) |
|
(14 603) |
|
| Net cash (utilised by)/from operating activities before taxation |
(2 490) |
|
2 295 |
|
312 |
|
| Taxation paid |
(735) |
|
(1 064) |
|
(2 318) |
|
| Cashflows (utilised by)/from operating activities |
(3 225) |
|
1 231 |
|
(2 006) |
|
| Cashflows utilised by investing activities |
(2 453) |
|
(384) |
|
(3 171) |
|
| Cashflows from/(utilised by) financing activities |
6 644 |
|
(551) |
|
4 878 |
|
| Net increase/(decrease) in cash and cash equivalents |
966 |
|
296 |
|
(299) |
|
| Cash and cash equivalents at the beginning of the period* |
18 375 |
|
18 674 |
|
18 674 |
|
| Cash and cash equivalents at the end of the period* |
19 341 |
|
18 970 |
|
18 375 |
|
| * Including mandatory reserve deposits with central banks. |
|
|
|
|
|
|