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Report of the audit committee
Statement of directors’ responsibilities
Certificate by the company secretary
Report of the independent auditors
Directors’ report
Group income statement
Group statement of comprehensive income
Group balance sheet
Group statement of changes in equity
Group cash flow statement
Notes to the Group financial statements
Company income statement
Company statement of comprehensive income
Company balance sheet
Company statement of changes in equity
Company cash flow statement
Notes to the company financial statements
Annexure 1

Company cash flow statement

for the year ended 31 December 2009

          December 2009     December 2008  
    Note     Rm     Rm  
  CASH FLOWS FROM OPERATING ACTIVITIES                
  Cash (utilised by)/generated from operation 9     (406)     192  
  Interest paid       (1)      
  Interest received       18     26  
  Income tax paid 10     (362)     (262)  
  Dividend paid       (3 382)     (2 536)  
  Dividends received 11     4 280     2 790  
  Net cash generated from operating activities       148     210  
  CASH FLOWS FROM FINANCING ACTIVITIES                
  Cash outflow on share buy-back       (463)      
  Proceeds from the issuance of ordinary shares 7     36     41  
  Net cash (used in)/generated from financing activities       (428)     41  
  Net (decrease)/increase in cash and cash equivalents       (280)     251  
  Cash and cash equivalents at beginning of year       282     31  
  Cash and cash equivalents at end of year 6     2     282  

The notes on pages 156 to 161 are an integral part of these financial statements.