Consolidated Cash Flow

Consolidatd Cash Flow for the Half Year Ended June 2008

 

Six months ended 30 June 2008

R 000

Six months ended 30 June 2007

R 000

Year ended 31 Dec 2007

R 000

Cash flows from operating activities 22 046 39 935 10 878
Cash flows from investing activities (46 551) (41 048) (25 011)
Cash flows from financing activities 5 582 18 137 20 519



Net movement in cash resources (18 923) 17 024 6 386
Cash resources at beginning of period 28 038 21 652 21 652

Cash resources at 30 June 2008 9 115 38 676 28 038

Print Friendly