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Statements of cash flows

for the year ended 31 March 2015

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      Group   Company  
  Notes   2015
R’000
  2014
R’000
  2015
R’000
  2014
R’000
 
Cash flow from operating activities     22 138   22 159   22 138   22 159  
Cash generated from operations 12   105   675   105   675  
Interest paid     (64)   (51)   (64)   (51)  
Interest received     376   310   376   310  
Dividends received     21 721   21 225   21 721   21 225  
Cash flow from financing activities     (22 146)   (20 338)   (22 146)   (20 338)  
Dividends paid     (4 765)   (3 366)   (4 765)   (3 366)  
Preference dividends paid     (17 381)   (16 972)   (17 381)   (16 972)  
Change in cash and cash equivalents for the year     (8)   1 821   (8)   1 821  
Cash and cash equivalents at the beginning of the year     8 428   6 607   8 428   6 607  
Cash and cash equivalents at the end of the year     8 420   8 428   8 420   8 428