Sanlam Ltd (SLMJ)

5,757 +70 (+1.23%)
Delayed Data ZAR Disclaimer

SLMJ Cash Flow Statement

Net Income/Starting Line
Cash From Investing Activities
Name
Jun 30, 2021
Dec 31, 2020
Jun 30, 2020
Dec 31, 2019
Jun 30, 2019
7,681 7,439 -2,067 14,561 6,982
-9,551 -6,082 4,236 7,320 -918
Depreciation/Depletion 491 1,139 539 1,024 481
Amortization 578 1,323 756 1,405 699
Deferred Taxes - - - - -
Non-Cash Items -49,688 -52,016 -21,905 -77,981 -38,987
Cash Receipts - - - - -
Cash Payments - - - - -
Cash Taxes Paid 2,458 4,656 1,632 5,657 2,611
Cash Interest Paid 459 1,004 642 1,094 493
Changes in Working Capital 31,387 36,033 26,913 68,311 29,907
-319 -1,733 -1,008 -509 -94
Capital Expenditures -263 -737 - - -
Other Investing Cash Flow Items, Total -56 -996 -1,008 -509 -94
-1,241 1,792 -1,078 2,503 2,444
Financing Cash Flow Items -298 818 0 - -
Total Cash Dividends Paid - - - - -
Issuance (Retirement) of Stock, Net -365 -1,241 -1,096 -606 -805
Issuance (Retirement) of Debt, Net -578 2,215 18 3,109 3,249
-445 1,695 3,617 -325 -378
-11,556 -4,328 5,767 8,989 1,054
22,055 24,608 - - -
30,369 25,662 - - -
6,645 -918 - - -
823.86% -108.53% - - -
6.07% -0.56% - - -

* In Millions of ZAR (except for per share items)

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