Bannerman Resources Limited announced consolidated cash flow results for the second quarter and six months ended December 31, 2012. For the quarter, net operating cash out flows were AUD 1,466,000. Payment for purchases of other fixed assets was AUD 7,000.

For the six months, net operating cash out flows were AUD 3,734,000. Payment for purchases of other fixed assets was AUD 7,000.

The company provided cash flow guidance for the third quarter of 2013. Estimated cash outflows for next quarter was AUD 1,200,000.