Company cash flow statement

for the year ended 31 March 2011

    Note     2011
Rm
    2010
Rm
 
  CASH FLOWS FROM OPERATING ACTIVITIES                
  Cash generated from operations 5     5     117  
  Taxation paid           (1)  
  Cash available from operating activities       5     116  
  CASH FLOWS FROM INVESTING ACTIVITIES                
  Loans advanced to subsidiaries       (965)     (86)  
  Net cash out flow from investing activities       (965)     (86)  
  CASH FLOWS FROM FINANCING ACTIVITIES                
  (Purchase)/proceeds from treasury shares       (11)     3  
  Proceeds from issue of ordinary shares       971      
  Dividends paid           (40)  
  Net cash in flow/(out flow) from financing activities       960     (37)  
  Net decrease in cash and cash equivalents           (7)  
  Net cash and cash equivalents at beginning of year           7  
  Net cash and cash equivalents at end of year            

The accompanying notes on page 150 are an integral part of these company annual financial statements.