reviewed preliminary group results for the year ended 31 August 2007
 Year to   Year to
  31 August 2007   31 August 2006
R’000 (reviewed)   (audited)
Cash generated by operations 622 366   505 930
Working capital changes 520 811   (154 666)
Net interest paid (36 383)   (60 003)
Taxation received/(paid) 37 503   (71 301)
Cash effects of operating activities 1 144 297   219 960
Distributions to shareholders (121 286)   (102 323)
Net cash effects of operating activities 1 023 011   117 637
Net cash effects of investing activities (103 982)   (101 543)
Net cash effects of financing activities (498 865)   (69 391)
Net increase/(decrease) in cash and cash
 equivalents
420 164   (53 297)