Cash Flow Statements

for the year ended 31 March 2005

GroupCompany
     2005     2004     2005     2004
 Notes RmRmRmRm
Cash flow from operating activities   
Cash flow from trading27.1610.7 535.9(2.4)
Working capital movement 27.2 14.5 (27.0)1.9  
Cash generated from operations625.2 508.9(0.5)
Dividends and interest received34.8 49.563.6
Finance costs(307.8)(18.9)-
Taxation paid 27.3(207.7)(99.2)-
Dividends paid  (61.0) -(61.0) 
Cash retained from operating activities   83.5 440.32.1  
   
Cash utilised in investing activities  
Net additions to insurance business investments(23.6)(8.3)-
Acquisition of subsidiary company 27.4- (18.6)-
Loans to subsidiary companies- -(2.1)
Acquisition of property, plant and equipment(37.4)(36.3)-
Proceeds on disposal of property, plant and equipment  8.0 4.2-  
Net cash outflow from investing activities  (53.0)(59.0)(2.1) 
   
Cash effects of financing activities  
Amount owing to holding company(500.0) --
Finance lease liability  (6.0)(6.3)-  
Net cash outflow from financing activities  (506.0)(6.3)-  
Net (decrease)/increase in cash and cash equivalents(475.5)375.0-
Cash and cash equivalents at the beginning of the year358.8 (16.2) 
Cash and cash equivalents at the end of the year 27.5 (116.7)358.8-