9 CASH RESOURCES
 
    2019
R’000
      2018
R’000
 
Variable rate deposits and current   10 342 608       7 693 137  
Cash on deposit, fixed deposit (including accrued interest)         686 000  
Cash pledged in favour of bankers by a subsidiary company to secure environmental guarantees issued by them (refer note 32)   52 660       70 660  
    10 395 268       8 449 797