| |
6 months to |
|
6 months to |
|
Year to |
|
| |
28 February |
|
28 February |
|
31 August |
|
| |
2007 |
|
2006 |
|
2006 |
|
| R000 |
(unaudited) |
|
(unaudited) |
|
(audited) |
|
| Cash generated by operations |
326 140 |
|
287 991 |
|
505 930 |
|
| Working capital changes |
175 254 |
|
(594 839) |
|
(154 666) |
|
| Net interest paid |
(22 216) |
|
(29 956) |
|
(60 003) |
|
| Taxation received/(paid) |
52 553 |
|
(21 894) |
|
(71 301) |
|
| Cash inflow/(outflow) from operating activities before |
|
|
|
|
|
|
| distributions |
531 731 |
|
(358 698) |
|
219 960 |
|
| Distributions paid to ordinary shareholders |
(77 692) |
|
(63 533) |
|
(102 323) |
|
| Net cash effects of operating activities |
454 039 |
|
(422 231) |
|
117 637 |
|
| Net cash effects of investing activities |
(70 447) |
|
(48 159) |
|
(101 543) |
|
| Net cash effects of financing activities |
(201 699) |
|
(6 727) |
|
(69 391) |
|
| Net increase/(decrease) in cash and cash equivalents |
181 893 |
|
(477 117) |
|
(53 297) |
|