GROUP FINANCIAL STATEMENTS
NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS – for the year ended 30 June 2014

    2014  
Rm  
2013  
Rm  

28.  

Finance income  

   
  Cash and cash equivalents   218   71  
  Associate loan    –   2  
  Loans (note 12 7   37  
  Held-to-maturity financial assets (note 11 3   4  
  Trade and other receivables   88   74  
    316   188  
  Metal lease fees   2   34  
    318   222