| |
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 |