Unaudited Interim Results

for the six months ended 30 September 2007

Abridged cash flow statement

    6 months   6 months   12 months  
    ended   ended   ended  
    30 Sept 2007   30 Sept 2006   31 Mar 2007  
    Rm   Rm   Rm  
  Notes Unaudited   Unaudited   Audited  
Cash generated from operations 8 299.0   326.6   591.5  
Dividends and interest received   25.8   30.0   58.7  
Finance costs   (27.8)   (6.9)   (30.0)  
Taxation paid   (195.4)   (224.3)   (403.2)  
Cash retained from operating activities   101.6   125.4   217.0  
Net cash outflow from investing activities   (49.8)   (65.3)   (66.6)  
Net cash outflow from financing activities 9 (294.1)   (337.0)   (439.3)  
Net movement in cash and cash equivalents   (242.3)   (276.9)   (288.9)  
Cash and cash equivalents at the beginning of the period   (393.6)   (104.7)   (104.7)  
Cash and cash equivalents at the end of the period   (635.9)   (381.6)   (393.6)