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Consolidated Cash Flow Statement

  For the year ended 30 June
  2009
(RMB million)
2008
(RMB million)
2007
(RMB million)
2006
(RMB million)
2005
(RMB million)
           
Net cash generated from
   operating activities
3,929.3 1,395.8 756.1 1,067.1 1,063.0
Net cash used in investing
   activities
(3,739.3) (9,809.4) (5,524.0) (1,454.1) (1,537.3)
Net cash generated from
   financing activities
(236.4) 8,270.2 3,727.0 2,556.0 681.4
Net increase/(decrease) in
   bank and cash balances
(46.3) (143.4) (1,040.9) 2,169.0 207.1

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