Condensed consolidated statement of cash flows

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   Six months ended    
In millions of rand  30 June 2017 
Reviewed 
      30 June 2016 
Reviewed 
  
Cash (outflow)/inflow from operating activities  (1 596)       191    
Cash (utilised in)/generated from operations  (1 117)       592    
Interest income  20        33    
Finance cost  (373)       (226)   
Income tax paid  (7)       (2)   
Realised foreign exchange movement  (119)       (206)   
Cash outflows from investing activities  (599)       (771)   
Investment to maintain operations  (474)       (754)   
Investment to expand operations  (127)       (42)   
Investment in associates and joint ventures  (4)         
Proceeds on disposal or scrapping of assets        21    
Interest income from investments  –          
Cash inflows from financing activities  4 254        1 189    
Borrowings raised  6 300        –    
Borrowings (repaid) (2 011)       (3 280)   
Finance lease obligation repaid  (35)       (31)   
Proceeds from rights issue/issue of share capital  –        4 500    
Increase in cash and cash equivalents  2 059        609    
Effect of foreign exchange rate changes on cash and cash equivalents        (14)   
Cash and cash equivalents at the beginning of the year  1 660        2 164    
Cash and cash equivalents at the end of the year  3 723        2 759