Unaudited Preliminary Group Results for the year ended 31 August 2006
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Income
statement
Balance
sheet
Cash flow
statement
Changes
in equity
Segmental
analysis
Supplementary
information
Notes
 
Commentary
 
Distribution
 
  Year to   Year to  
  31 August   31 August
  2006   2005
R’000 (unaudited)   (restated audited)  
Operating profit before working capital changes 505 930   454 150
Working capital changes (154 666)   (196 485)
Net interest paid (60 003)   (49 086)
Taxation paid (71 301)   (109 258)  
Cash effects of operating activities 219 960   99 321
Distributions to shareholders (102 323)   (112 465)  
Net cash effects of operating activities 117 637   (13 144)
Net cash effects of investing activities (101 543)   (182 660)
Net cash effects of financing activities (69 391)   (149 478)
Net decrease in cash and cash equivalents (53 297)   (345 282)