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2016

R’000

2015

R’000

Cash flows from operating activities

4 740 623

4 042 878

Cash generated by operations

7

6 642 467

5 095 000

Finance income

66 846

29 173

Finance charges

8

(267 379)

(251 455)

Taxation paid

9

(1 150 888)

(814 430)

Distributions to shareholders

10

(550 423)

(15 410)

Cash flows from investment activities

(2 349 552)

(3 466 969)

Amounts repaid by (advanced to) associates

29 075

(26 841)

Proceeds on disposal of investments

344 319

47 799

Investments acquired

(105 222)

(64 095)

Additions to property, plant and equipment

(1 988 422)

(1 587 472)

Additions to intangible assets

(123 906)

(125 245)

Proceeds on disposal of property, plant and equipment

87 180

437 683

Proceeds on disposal of intangible assets

6 315

Acquisition of businesses, subsidiaries and associates

11

(720 637)

(2 159 895)

Proceeds on disposal of interests in subsidiaries and associates, and disposal and closure

of businesses

12

128 061

4 782

Cash flows from financing activities

(808 142)

(1 401 338)

Disposal of treasury shares

12 420

Borrowings raised

4 363 215

2 032 614

Borrowings repaid

(5 183 777)

(3 433 952)

Net increase (decrease) in cash and cash equivalents

1 582 929

(825 429)

Cash and cash equivalents at beginning of year

3 632 604

4 372 476

Effects of exchange rate fluctuations on cash and cash equivalents

289 976

85 557

Cash and cash equivalents at end of year

5 505 509

3 632 604

Cash and cash equivalents comprise

Cash and cash equivalents

5 505 509

3 632 608

Bank overdrafts included in short-term portion of borrowings

24

(4)

5 505 509

3 632 604

Consolidated statement of cash flows

for the year ended June 30

Bidcorp Limited Annual integrated report 2016 | 

Page 65

Financial overview