Condensed group income statement | Group statement of comprehensive income | Condensed group statement of financial position
Reconciliation of headline earnings | Condensed group statement of cash flows | Group statement of changes in equity | Comments
Notes to the reviewed financial statements | Unaudited physical information (‘000 tonnes) | Downloads
Condensed group statement of cash flows
    6 months  
 ended  
 30 June  
 2009  
Reviewed  
Rm
  
6 months  
ended  
30 June  
2008  
Reviewed  
Rm  
12 months  
ended  
31 Dec  
2008  
Audited  
Rm  
Cash retained from operations   832   1 523   3 574  
– net financing costs   (192)  (45)  (193) 
– tax paid   (488)  (216)  (487) 
– dividends paid   (700)  (348)  (984) 
Cash flows from investing activities              
– capital expenditure   (686)  (465)  (1 617) 
– proceeds from disposal of property, plant and equipment   4   3   29  
– investments acquired   (50)  (69)  (179) 
– associate acquired           (221) 
– acquisition of subsidiaries and other business operations       (30)  (2 757) 
– dividends from investments and equity-accounted investments   1 124   352   1 044  
– other   (123)  86   (55) 
Net cash (outflow)/inflow   (279)  791   (1 846) 
Net cash flow from financing activities              
– shares issued   20   17   31  
– increase in non-controlling interests’ loans   8   1    
– net borrowings raised   1 195   5   2 734  
Net increase in cash and cash equivalents   944   814   919  
Cash and cash equivalents at beginning of period   1 769   850   850  
Cash and cash equivalents end of period   2 713   1 664   1 769