Financial Statements

Condensed consolidated statement of cashflows
for the period ended

  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.