26 weeks 26 weeks 52 weeks
  June 2017 June 2016 December 2016
Rm (Reviewed) (Reviewed) (Audited)
       
Operating cash before working capital movements 1,530.1 1,666.4 3,984.9
Working capital movements (4,136.2) (4,095.2) (263.0)
Cash (utilised by)/generated from operations (2,606.1) (2,428.8) 3,721.9
Taxation paid (321.4) (266.4) (573.9)
Net interest paid (183.7) (194.7) (489.3)
Investment income 30.0 50.0
Dividends paid (504.1) (266.2) (453.2)
Cash (outflow)/inflow from operating activities (3,585.3) (3,156.1) 2,255.5
       
Investment to maintain operations (353.3) (346.7) (826.7)
Investment to expand operations (395.7) (400.8) (953.7)
Investment in subsidiaries (2.5) (17.7)
Proceeds on disposal of property, plant and equipment 9.5 11.6 27.3
Proceeds on disposal of assets classified as held for sale 9.4
Other net investing activities 0.8 0.3 (4.1)
Cash outflow from investing activities (731.8) (735.6) (1,774.9)
       
(Decrease)/increase in non-current liabilities (843.3) 1,680.2 1,463.4
Increase/(decrease) in current liabilities 472.5 (62.5) (223.0)
Non-controlling interests acquired (110.0) (156.4) (177.7)
Net acquisition of treasury shares (151.5) (26.2) (103.2)
Cash (outflow)/inflow from financing activities (632.3) 1,435.1 959.5
       
Net (decrease)/increase in cash and cash equivalents (4,949.4) (2,456.6) 1,440.1
Foreign exchange movements (25.8) (270.5) (376.9)
Opening cash and cash equivalents 2,621.7 1,558.5 1,558.5
Closing cash and cash equivalents (2,353.5) (1,168.6) 2,621.7