Condensed consolidated statement of cash flow

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  R Million 6 months
31 March
2012
Unaudited
  6 months
31 March
2011
Unaudited
  12 months
30 Sept
2011
Audited
 
  Cash generated from operations 1 003   1 069   2 562  
  Tax paid (375)   (301)   (617)  
  Net cash inflow from operating activities 628   768   1 945  
  Net cash outflow from investing activities1 (909)   (207)   (688)  
  Net cash outflow from financing activities2 (193)   (779)   (1 378)  
  Net decrease in cash and cash equivalents (474)   (218)   (121)  
  Cash and cash equivalents – beginning of the year 400   482   482  
  Cash balances acquired through business combinations 2     39  
  Cash and cash equivalents – end of the year (72)   264   400  

1 The increase includes the investment made in Max Healthcare during the current period.
2 The decrease includes the new funding regarding the acquisition of Max Healthcare during the current period.