(175 811)
106 631

2000
R'000

1999
R'000
Restated
Net cash flow from operations
302 132
226 182
Movement in working capital
(152 152)
73 136
Finance costs
(11 271)
(7 461)
Tax paid
(47 262)
(27 269)
Cash flow from operating activities
91 447
264 588
Dividends paid
(15 925)
(10 758)
Net cash effects of operating activities  
75 522
253 830
Net cash flow utilised in investing activities  
(251 333)
(147 199)
Net cash effects of financing activities  
81 440
2 302
Change in net cash resources  
(94 371)
108 933