R million  30 June 
2017   
30 June 
2016 
Restated 
Cash generated from operations  2 874  1 413 
Taxation paid  (363) (328)
Dividends received  4 163  3 547 
Finance costs  (1 179) (795)
Cash available from operating activities  5 495  3 837 
Dividends paid  (2 708) (2 358)
Net cash inflow from operating activities  2 787  1 479 
Investing activities  (6 572) (18 767)
Financing activities  8 553  16 365 
Net increase/(decrease) in cash and cash equivalents  4 768  (923)
Exchange rate profit/(loss) on foreign cash  (424)  222 
Cash and cash equivalents at the beginning of the year  3 128  3 829 
Cash and cash equivalents at the end of the year  7 472  3 128 
        
Cash and cash equivalents – per statement of financial position  7 524  3 569 
Bank overdraft  (52) (441)