December 2014 December 2013
Rm Notes 52 weeks 53 weeks
CASH FLOWS FROM OPERATING ACTIVITIES
Cash inflow from trading activities 38.1  2,983.4  2,984.0
Working capital movements 38.2  (295.1)  752.6
Cash generated from operations  2,688.3  3,736.6
Interest paid  (386.8)  (283.8)
Interest received  41.5  28.7
Investment income -  79.2
Taxation paid 38.3  (683.4)  (732.8)
Dividends paid  (914.0)  (913.4)
Net cash inflow from operating activities  745.6  1,914.5
CASH FLOWS FROM INVESTING ACTIVITIES
Investment to maintain operations 38.4  (857.4)  (780.2)
Investment to expand operations 38.5  (1,322.1)  (1,306.8)
Proceeds on disposal of property, plant and equipment 38.6  32.5  25.6
Proceeds on disposal of assets classified as held for sale 38.7 -  2.5
Investment in business combinations 38.8  (14.4) -
Other investing activities 38.9  14.9  (247.4)
Net cash outflow from investing activities  (2,146.5)  (2,306.3)
CASH FLOWS FROM FINANCING ACTIVITIES
Increase in non-current liabilities  969.8  483.5
Increase/(decrease) in current liabilities  445.9  (68.1)
Non-controlling interests acquired 38.10  (38.6)  (0.6)
Net acquisition of treasury shares  (27.4)  (121.8)
Net cash inflow from financing activities  1,349.7  293.0
Net decrease in cash and cash equivalents  (51.2)  (98.8)
Foreign exchange movements 23  (53.7)  47.2
Cash and cash equivalents at the beginning of the year  1,588.3  1,639.9
Cash and cash equivalents at the end of the year 38.11  1,483.4  1,588.3