Consolidated statement of cash flows

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   Unaudited 
six months 
ended 
31 December 
2018 
R'000 
   Unaudited 
six months 
ended 
31 December 
2017 
R'000 
   Audited 
year ended 
30 June 
2018 
R'000 
  
Net cash inflow from operating activities  47 739    56 411    290 519   
Cash generated from operations   199 719    177 496    552 695   
Net finance income 11 183    19 059    34 869   
Distribution to shareholders  (95 921)    (80 941)    (217 857)   
Dividends received  4 168    5 189    5 209   
Tax and other payments  (71 410)    (64 392)    (84 397)   
Net cash outflow from investing activities  (123 674)    (155 960)    (298 077)   
Net additions to property and equipment  (47 090)    (133 778)    (212 664)   
Net additions to intangible assets  (133 596)    (102 372)    (310 845)   
Net disposal of financial assets, investments and subsidiaries  52 314    77 301    218 166   
Repayment of loan by associate  4 698    2 889    7 266   
Net cash outflow from financing activities     23 850    (138 601)   
Net second tranche settlement           (138 601)   
Effect of foreign exchange benefit  1 865    (3 964)    (2 661)   
Net increase in cash and cash equivalents  (74 070)    (79 663)    (148 820)   
Cash and cash equivalents at beginning of the period  212 918    361 738    361 738   
Cash and cash equivalents at end of the period (NOTE 2)  138 848    282 075    212 918