Summarised Group statement of cash flows

For the year ended 31 December 2011
2011
$m
2010
$m
Cash flow from operations 623 583
Net interest paid (55) (57)
Tax paid on operating activities (89) (64)
Net cash from operating activities 479 462
Capital expenditure (194) (95)
Proceeds from disposal of operations and other financial assets 157 135
Tax paid on disposals (1) (4)
Dividends paid to shareholders (148) (121)
Decrease in borrowings (119) (292)
Other financing movements (67) (34)
Net movement in cash and cash equivalents in the year 107 51
Cash and cash equivalents at beginning of the year 78 40
Exchange rate effects (3) (13)
Cash and cash equivalents at end of the year 182 78