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cash_flow

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									Consolidated cash flow statement
Year ended 30 June 2010




Cash flows from operating activities
Profit before tax
Adjustments to profit before tax
Cash from changes in working capital
Exploration costs
Finance cost
Income tax paid
Net cash from operating activities

Cash flows from investing activities
Purchase of property, plant and equipment
Proceeds from sale of property, plant and equipment
Proceeds from investments disposed
Purchase of investments
Payment received from associate on shareholders’ loan
Loan repayments received
Net advances
Finance income
Net cash used in investing activities

Cash flows from financing activities
Issue of ordinary shares, net of cost
Purchase of treasury shares
Lease liability repaid
Repayments of borrowings
Proceeds from borrowings
Dividends paid to company’s shareholders
Net cash used in financing activities

Net increase/(decrease) in cash and cash equivalents
Cash and cash equivalents at beginning of year
Effect of exchange rate changes on cash and cash equivalents held in foreign currencies
Cash and cash equivalents at end of year

The notes on pages 175 to 235 are an integral part of these consolidated financial statements.
         2010      2009
Notes     Rm        Rm



        7 225      9 393
  32    1 648      (185)
  32    (1 184)     371
  27       (47)      (83)
           (48)    (122)
  20    (1 676)   (2 867)
        5 918      6 507


        (4 412)   (6 791)
           13        51
    9        8        —
    9        0        (6)
    8     196        96
  11      442         9
  11     (106)        —
          259       915
        (3 600)   (5 726)



  15       82        43
  15        —      (724)
           (18)      (16)
         (136)        —
          176       579
  31    (1 920)   (7 822)
        (1 816)   (7 940)

          502     (7 159)
  14    3 348     10 393
             8      114
  14    3 858      3 348

								
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