UNAUDITED GROUP RESULTS AND CASH DISTRIBUTION FOR THE PERIOD ENDED 31 MARCH 2011

Condensed consolidated interim statement of cash flows

for the period ended 31 March 2011

  R’m   6 months
31 March 2011 Unaudited
    6 months
31 March 2010 Reviewed
  12 months
30 Sept.
2010 Reviewed
 
  Cash generated from operations   1 069     821   2 233  
  Income tax paid  
(301)
    (162)   (396)  
  Net cash inflow from operating activities   768     659   1 837  
  Net cash outflow from investing activities   (207)     (130)   (695)  
  Net cash outflow from financing activities  
(779)
    (421)   (788)  
  Net (decrease)/increase in cash and cash equivalents   (218)     108   354  
  Cash and cash equivalents – beginning of the year   482     101   101  
  Cash balances acquired through business combinations  
      27  
  Cash and cash equivalents – end of the year  
264
    209   482