26
Cash generated by operating activities
2026
2025
2024
for the year ended 30 June
Note
Rm
Cash flow from operations
27
56 694
46 527
57 162
(Increase)/decrease in working capital
24
(14 724)
1 276
(4 841)
41 970
47 803
52 321
No definition available.
The entire disclosure for cash generated by operating activities.