Summarised consolidated cash flow statement
Restated
Audited
Audited
R millions
30.6.05
30.6.04
Cash generated by operations before working capital changes
714
534
Cash out flow from discontinued headlease property activities
(68)
(114)
Decrease (increase) in working capital
33
(88)
Cash generated by operations
679
332
Interest and taxation
(11)
(43)
Operating cash flow
668
289
Dividends paid
(143)
(167)
Dividends paid to minority shareholders
(20)
(1)
Cash retained in operations
505
121
Net investment activities
107
(253)
Net funds flow
612
(132)