Summarised consolidated statement of cash flow

for the year ended 31 March 2019

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GROUP  2019 
R000
 
   2018 
R000 
  
Cash flow from operating activities  1 785 694     1 333 611    
Cash flow from investing activities  (7 361 885)    (4 664 679)   
Cash flow from financing activities  5 616 823     3 096 868    
Net increase/(decrease) in cash and cash equivalents  40 632     (234 200)   
Foreign currency movement in cash  1 758     (1 885)   
Cash and cash equivalents at the beginning of the year  1 093 860     1 329 945    
Cash and cash equivalents at the end of the year  1 136 250     1 093 860    

Major items included in the items above:

GROUP  2019 
R000
 
   2018 
R000 
  
Cash flow from operating activities             
Profit before taxation  1 966 896     2 422 914    
Adjustments  (266 204)    (1 216 409)   
Cash flow from investing activities             
Acquisition and improvements of investment properties  (9 574 280)    (4 703 030)   
Equity contributed from non-controlling interest  1 827 741     –    
Cash flow from financing activities             
Interest-bearing borrowings advanced  6 894 960     5 857 327    
Interest-bearing borrowings repaid  (1 891 575)    (2 762 399)   
Proceeds from issue of share capital  2 614 572     1 556 631    
Finance costs paid  (460 995)    (352 990)   
Dividends paid  (1 518 404)    (1 180 331)   

SUMMARISED CONSOLIDATED RESULTS
for the year ended 31 March 2019 and change to the board of directors

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