MTN Cover page

 

 

Value added statement

for the year ended 31 December 2007

  December     December
  2007     2006
  Rm     Rm

Cash value added        
Cash value generated from revenue 70 589     48 942
Cost of materials and services (30 330)     (21 258)
Cash value added by operations 40 259     27 684
Finance income 1 013     1 382
  41 272     29 066
Cash value distributed        
Employees 3 379     2 453
Salaries, wages and other benefits 3 035     2 117
Employees’ tax 344     336
Governments 11 984     9 087
Corporate and indirect taxation 8 221     7 253
Regulatory fees 3 763     1 834
Providers of capital 5 264     2 608
Finance costs 3 589     1 525
Dividends 1 675     1 083
         
Total cash value distributed 20 627     14 148
Reinvested in the Group 20 645     14 918
  41 272     29 066

 Cash value distributed and reinvested in the Group

Cash value distributed and reinvested in the Group