Statements of cash flows

      Group     Company    
   Note(s) 2022 
R '000
 
2021 
R '000 
2022 
R '000
 
2021 
R '000 
Cash flows from operating activities                
Cash generated from (used in) operations  26  2,134,251  1,577,544  844,484  (8,263)
Finance income received     23,666  11,615  51 
Finance expense paid     (3,358) (2,123) (6) (25)
Taxation paid     (456,863) (431,112) —  — 
Net cash from operating activities     1,697,696  1,155,924  844,529  (8,286)
Cash flows from investing activities                
Acquisition of property, plant and equipment — sustaining  3  (466,396) (448,149) (211) (107)
Acquisition of property, plant and equipment — expansionary  3  (17,841) (42,086) —  — 
Proceeds from the sale of property, plant and equipment     697  366  —  — 
Settlement of loan to subsidiary     —  —  19,973  188,710 
Movement in other long-term receivable     (14,229) —  (14,229) — 
Net cash from investing activities     (497,769) (489,869) 5,533  188,603 
Cash flows from financing activities                
Payment for repurchase of shares  14  —  (5,774) —  (5,774)
Costs incurred for the repurchase of shares  14  —  (32) —  (32)
Repayment of capital portion on lease liabilities     (4,131) (4,210) (36) (164)
Dividends paid  38  (849,703) (174,939) (849,703) (174,939)
Net cash from financing activities     (853,834) (184,955) (849,739) (180,909)
Total cash movement for the year     346,093  481,100  323  (592)
Cash at the beginning of the year     972,129  277,629  79  671 
Effect of exchange rate movement on cash balances     (49,623) 213,400  —  — 
Total cash at end of the year  13  1,268,599  972,129  402  79