cash flow statement

         
    6 months 6 months 12 months
    ended ended ended
    30 Sep 30 Sep 31 Mar
    2011 2010 2011
    R m Rm Rm
  Notes Unaudited Unaudited Audited
Cash generated from operations 8 419.4 413.1 777.0
Dividends and interest received   35.5 32.7 66.0
Finance costs   (31.9) (59.1) (95.1)
Taxation paid   (169.5) (141.9) (328.0)
Cash retained from operating activities   253.5 244.8 419.9
Cash outflow from investing activities 9 (118.5) (80.4) (227.3)
Cash outflow from financing activities 10 (28.1) (154.5) (292.1)
Net increase in cash and cash equivalents   106.9 9.9 (99.5)
Cash and cash equivalents at the beginning of the period   (348.7) (249.2) (249.2)
Cash and cash equivalents at the end of the period   (241.8) (239.3) (348.7)