Group Cash Flow Statements

In S$ million

For year ended 31 Mar 2005 2006 2007 2008 2009 2010
Operating cash flow before working capital changes 16,854 18,661 17,557 21,213 14,072 16,428
Change in working capital (4,353) 2,577 2,508 (287) 1,484 (4,155)
Cash generated from operations 12,501 21,238 20,065 20,926 15,556 12,273
Income tax paid (1,480) (1,558) (1,592) (1,942) (1,826) (1,260)
Net cash inflow from operating activities 11,021 19,680 18,473 18,984 13,730 11,013
Net cash (outflow)/inflow from investing activities (4,765) (16,509) (23,344) (30,431) 95 (5,285)
Net cash (outflow)/inflow from financing activities (4,793) (238) 2,259 13,277 (6,398) (196)
Net increase/(decrease) in cash and cash equivalents held 1,463 2,933 (2,612) 1,830 7,427 5,532