Reviewed Financial Results for the year ended 31 March 2006
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Reviewed Financial Results for the year ended 31 March 2006
 
 
Cash Flow Statement
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  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)
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 
 
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