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Summarised consolidated statements of cash flows


for the year ended 31 March 2014

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  Group   Company  
  2014
R’000
  2013
(Restated)
R’000
  2014
R’000
  2013
R’000
 
Net cash from operating activities 436 273   657 693   141 500   137 500  
Net cash utilised in investing activities (558 036)   (316 833)      
Net cash utilised in financing activities (170 683)   (358 746)   (141 500)   (137 500)  
Net decrease in cash and cash equivalents (292 446)   (17 886)      
Forex translation adjustments on cash and cash equivalents 1 033   1 338      
Cash and cash equivalents at the beginning of the year (144 002)   (127 454)      
Cash and cash equivalents at the end of the year (435 415)   (144 002)