Condensed consolidated statement of cash flow

for the six months ended 30 September 2019

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  Unaudited 
30 September 
2019 
Rm 
  Unaudited 
30 September 
2018 
Rm 
Audited 
31 March 
2019 
Rm 
 
Cash flow from operating activities  1 046     913  1 786    
Cash flow from investing activities  (2 262)    5 724  (7 362)   
Cash flow from financing activities  1 476     (6 915) 5 617    
Net increase/(decrease) in cash and cash equivalents  260     (278) 41    
Foreign currency movements in cash     (2)   
Cash and cash equivalents at the beginning of the period  1 136     1 094  1 094    
Cash and cash equivalents at the end of the period  1 404     814  1 136    
Major items included in the above:                
Cash flow from operating activities  1 046     913  1 786    
Profit before tax  960     981  1 967    
Working capital adjustments  101     (256) (266)   
Cash flow from investing activities  (2 262)    5 724  (7 362)   
Acquisition of investment property  (1 888)    (9 058) (9 574)   
Equity contributed from non-controlling interest     1 784  1 828    
Investment in subsidiary  (618)    —  —    
Proceeds on sale of investment property  17     —  —    
Cash flow from financing activities  1 476     (6 915) 5 617    
Interest-bearing borrowings advanced  2 536     5 107  6 895    
Interest-bearing borrowings repaid  (418)    —  (1 892)   
Proceeds from issue of share capital  696     1 697  2 615    
Finance costs paid  (248)    (209) (461)   
Dividends paid  (1 034)    (758) (1 518)