Group Cash Flow Statement

FOR THE YEAR ENDED 28 FEBRUARY 2007
2007 2006
  Notes R’m R’m
Revenue - management fee income 41 30
Operating costs (29) (30)
Foreign exchange gain/(loss) 133 (10)
Share-based payments   (10) (5)
Operating income/(loss) 1 135 (15)
Interest received 2 27 21
Interest paid   (5) (3)
Profit before taxation 157 3
Taxation 3 (2) -
Attributable profit   155 3