December 2015   December 2014
Rm Notes   52 weeks   52 weeks
           
           
Cash flows from operating activities          
Cash outflow from trading activities 13.1    (25.6)    (10.9)
Working capital movements 13.2    (15.7)    10.0
Cash utilised in operations      (41.3)    (0.9)
           
Interest paid 3    (0.7)  
Interest received 3    3.2    6.6
Dividends received 1    726.3    1,319.8
Dividends paid 13.3    (905.6)    (914.0)
Taxation paid 13.4    (5.4)    (3.1)
Net cash (outflow)/inflow from operating activities      (223.5)    408.4
           
Cash flows from investing activities          
Investment to expand operations 6    (3.3)  
Investment in subsidiaries 5    (13.3)  
Loans advanced to subsidiaries        (8.3)
Proceeds received from/(loans repaid to) subsidiaries      97.9    (381.1)
Other investing activities 13.5    15.5    8.0
Net cash inflow/(outflow) from investing activities      96.8    (381.4)
           
Cash flows from financing activities          
Net acquisition of treasury shares 13.6    (23.6)    (27.4)
Proceeds received from subsidiaries      150.2  
Net cash inflow/(outflow) from financing activities      126.6    (27.4)
           
Net decrease in cash and cash equivalents      (0.1)    (0.4)
Cash and cash equivalents at the beginning of the year      7.0    7.4
Cash and cash equivalents at the end of the year      6.9    7.0