Summarised Group Statement of Cash Flows

for the year ended 31 May 2010

    2010   2009  
    R’000   R’000  
  Cash flows from operating activities 515 910   666 994  
  Cash flows from investing activities (187 912)   (206 731)  
  Cashflows from financing activities (23 283)   (10 624)  
  Increase in cash and cash equivalents 304 715   449 639  
  Cash and cash equivalents at the beginning of the year 1 756 806   1 328 294  
  Translation difference (6 619)   (21 127)  
  Cash and cash equivalents at the end of the year 2 054 902   1 756 806