Company statements of cash flows

for the year ended 30 June
 
    2011 2010
           
  Notes Rm Rm
Cash flows from operating activities
Cash utilised by operations 13.1 (12) (137)
Tax paid 13.2 (5) (3)
Net cash outflow from operating activities (17) (140)
Cash flows from investing activities
Investment in SFIR (2) (254)
Investment in TCN (222)
Investment income 13.3 333 712
Other non current investments and loans made (59)
Net cash inflow from investing activities 331 177
Cash flows from financing activities
Decrease in borrowings 13.4 (1)
Interest paid 13.5 (141) (181)
Dividends paid 5 (181)
Increase in share capital 39
Proceeds on treasury share options exercised 79
Funding the purchase of treasury shares and share options (40)
Treasury shares disposed 78
Net cash outflow from financing activities (322) (26)
Net cash and cash equivalents movement for the year (8) 11
Cash and cash equivalents at beginning of year 11
Cash and cash equivalents at end of year 3 11