Unaudited Interim Group Results for the six months ended 28 February 2007
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Distribution
 
  6 months to   6 months to   Year to  
  28 February   28 February   31 August  
  2007   2006   2006  
R’000 (unaudited)   (unaudited)   (audited)  
Cash generated by operations 326 140   287 991   505 930  
Working capital changes 175 254   (594 839)   (154 666)  
Net interest paid (22 216)   (29 956)   (60 003)  
Taxation received/(paid) 52 553   (21 894)   (71 301)  
Cash inflow/(outflow) from operating activities before            
distributions 531 731   (358 698)   219 960  
Distributions paid to ordinary shareholders (77 692)   (63 533)   (102 323)  
Net cash effects of operating activities 454 039   (422 231)   117 637  
Net cash effects of investing activities (70 447)   (48 159)   (101 543)  
Net cash effects of financing activities (201 699)   (6 727)   (69 391)  
Net increase/(decrease) in cash and cash equivalents 181 893   (477 117)   (53 297)