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 |