Sanlam Group cash flow statement

 
R million Note
2010
Restated
2009
Cash flow from operating activities
904
3 980
Cash utilised in operations 36.1
(7 158)
(6 288)
Interest and preference share dividends received
9 786
11 030
Interest paid
(525)
(609)
Dividends received
4 284
4 201
Dividends paid
(2 612)
(2 295)
Taxation paid
(2 871)
(2 059)
Cash flow from investment activities
313
(865)
Net disposal/(acquisition) of investments
586
(559)
Acquisition of subsidiaries 36.2
(273)
(354)
Disposal of subsidiaries and associated companies 36.3
48
Cash flow from financing activities
(1 037)
519
Movement in treasury shares
(1 172)
106
Term finance raised
1 044
604
Term finance repaid
(909)
(191)
       
Net increase in cash and cash equivalents
180
3 634
Cash, deposits and similar securities at beginning of the year
60 984
57 350
Cash, deposits and similar securities at end of the year
36.4
61 164
60 984