| |
31
March
2006
Rm |
31
March
2005
Rm |
| Cash from trading
operations |
958 |
931 |
| Cash from direct marketing
entity in run-off |
41 |
68 |
| Movement in working capital
and insurance balances |
243 |
76 |
| Taxation and dividend payments |
(449) |
(466) |
| Cash from operating
activities |
793 |
609 |
| Net subsidiaries and businesses
acquired |
(64) |
(72) |
| Housing loans provided
to clients secured by retirement fund assets |
(750) |
– |
| Capital expenditure for
the year |
(92) |
(132) |
| Net movement in financial
assets |
(25) |
6 |
| Cash from investing
activities |
(931) |
(198) |
| Net proceeds of share
issues/treasury shares purchased |
(48) |
1 163 |
| Equity deduction resulting
from accounting for treasury shares under IFRS |
(23) |
(10) |
| Net borrowings repaid |
(68) |
(1 373) |
| Securitisation funding
raised for housing loans |
750 |
– |
| Withdrawal of matching
deposit |
– |
227 |
| Premium finance receivables |
(24) |
(25) |
| Cash settlement of retirement
obligations |
(82) |
(59) |
| Distributions to minority
shareholders |
(52) |
(46) |
| Cash from financing
activities |
453 |
(123) |
| Net cash flows |
315 |
288 |
| Foreign subsidiary translation
adjustment |
(140) |
(16) |
| Net movement in
cash balances |
175 |
272 |