02.05.2013 Views

CLOVER INDUSTRIES LIMITED CLOVER INDUSTRIES BEPERK

CLOVER INDUSTRIES LIMITED CLOVER INDUSTRIES BEPERK

CLOVER INDUSTRIES LIMITED CLOVER INDUSTRIES BEPERK

SHOW MORE
SHOW LESS

Create successful ePaper yourself

Turn your PDF publications into a flip-book with our unique Google optimized e-Paper software.

INTERIM CONSOLIDATED CASH FLOW STATEMENT/<br />

TUSSENTYDSE GEKONSOLIDEERDE KONTANTVLOEISTAAT<br />

for the six months ended 31 December 2009/vir die ses maande geëindig 31 Desember 2009<br />

Unaudited/<br />

Ongeouditeer<br />

Unaudited/<br />

Ongeouditeer<br />

restated/<br />

hersaamgestel<br />

Six months ended/<br />

Ses maande geëindig<br />

31 December 2009/<br />

31 Desember 2009<br />

31 December 2008/<br />

31 Desember 2008<br />

12<br />

Notes/<br />

Aantekeninge<br />

Audited/Geoudit<br />

restated/<br />

hersaamgestel<br />

Year ended/<br />

Jaar geëindig<br />

30 June 2009/<br />

30 Junie 2009<br />

R’000 R’000 R’000<br />

Cash fl ows from fi nancing activities Kontantvloei uit<br />

fi nansieringsaktiwiteite<br />

Interest paid (61 178) (89 544) (175 503) Rente betaal<br />

Dividends paid (29 984) — — Dividende betaal<br />

Repayment of preference share liability in<br />

subsidiary company<br />

(50 000) — — Terugbetaling van voorkeuraandele<br />

verpligting van fi liaal maatskappy<br />

Decrease in minority interest (2 317) (449) (7 101) Afname in minderheidsbelang<br />

Proceeds from issue of preference shares 9 262 — — Opbrengs uit uitreiking van aandele<br />

Treasury shares sold 789 — — Tesourie-aandele verkoop<br />

Repayment of borrowings (471 824) — (161 506) Terugbetaling van lenings<br />

Proceeds from borrowings — 258 049 220 353 Opbrengs uit lenings<br />

Net cash fl ows (used in)/from<br />

fi nancing activities<br />

Net increase/(decrease) in cash and<br />

cash equivalents<br />

Cash and cash equivalents at<br />

beginning of the period<br />

Cash and cash equivalents at the end<br />

of the period<br />

(605 252) 168 056 (123 757) Netto kontantvloei (benut in)/uit<br />

fi nansieringsaktiwiteite<br />

689 787 (112 839) (230 452) Netto toename/(afname) in kontant en<br />

kontantekwivalente<br />

273 971 504 423 504 423 Kontant en kontantekwivalente aan<br />

die begin van die tydperk<br />

963 758 391 584 273 971 Kontant en kontantekwivalente aan<br />

die einde van die tydperk

Hooray! Your file is uploaded and ready to be published.

Saved successfully!

Ooh no, something went wrong!