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Integrated annual report 2011 to the shareholders of Phuthuma Nathi Investments Limited

Phuthuma Nathi Investments Limited
Statements of cash flows
for the year ended 31 March 2011

 

        Group     Company
  Notes       2011  
R’000  
      2010  
R’000  
    2011  
R’000  
      2010  
R’000  
Cash flow from operating activities         2 401         500       2 401         500  
Cash utilised by operations   10       (117)        (216)      (117)        (216) 
Dividends received         360 000         120 000       360 000         120 000  
Dividends paid         (357 482)        (119 284)      (357 482)        (119 284) 
Change in cash for the year         2 401         500       2 401         500  
Cash at the beginning of the year         938         438       938         438  
Cash at the end of the year         3 339         938       3 339         938  
*Other reserves consist of the group’s share of its associate’s existing control business combination reserve, fair value reserve, foreign currency translation reserve, hedging reserve and share-based payment reserve.