Cash generated by operating activities
9 189
30 808
48 187
Finance income received
616
1 236
2 264
Finance expenses paid
(811)
(1 155)
(2 168)
Tax paid
(2 783)
(5 697)
(10 252)
Dividends paid
(3 654)
(5 674)
(7 193)
Cash retained from operating activities
2 557
19 518
30 838
Additions to non-current assets
(6 573)
(6 952)
(15 672)
Acquisition of businesses
–
(53)
(30)
Cash obtained on acquisition of
businesses
–
19
19
Disposal of businesses
13
3 487
3 486
Other net cash flows from investing
activities
(528)
100
(321)
Cash utilised in investing activities
(7 088)
(3 399)
(12 518)
Share capital issued
110
1 089
1 154
Share repurchase programme
–
(1 114)
(1 114)
Contributions from non-controlling
shareholders
5
369
406
Dividends paid to non-controlling
shareholders
(222)
(526)
(583)
Increase in long-term debt
631
3 896
755
Decrease in short-term debt
(3)
(1 758)
(1 811)
Cash effect of financing activities
521
1 956
(1 193)
Translation effects on cash and cash
equivalents of foreign operations
(4)
271
(870)
Movement in cash and cash equivalents
(4 014)
18 346
16 257
Cash and cash equivalents at beginning
of period
20 592
4 335
4 335
Cash and cash equivalents at end of
period
16 578
22 681
20 592
Income statement
for the period ended
half year
31 Dec 09
Reviewed
Rm
half year
31 Dec 08
Reviewed
Rm
full year
30 Jun 09
Audited
Rm
Turnover
58 072
83 118
137 836
Cost of sales and services rendered
(37 529)
(50 747)
(88 508)
Gross profit
20 543
32 371
49 328
Other operating income
264
454
1 021
Marketing and distribution expenditure
(3 195)
(4 018)
(7 583)
Administrative expenditure
(4 304)
(4 114)
(9 050)
Other operating expenditure
(2 840)
(3 209)
(9 050)
Competition related administrative
penalties
–
(3 678)
(3 947)
Effect of crude oil hedges
(73)
4 627
4 603
Share-based payment expenses
(524)
(3 044)
(3 325)
Effect of remeasurement items
(105)
320
(1 469)
Translation (losses)/gains
(781)
1 501
(166)
Other expenditure
(1 357)
(2 935)
(4 746)