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CASH FLOWS FROM OPERATING ACTIVITIES

Profit before tax 13,936,471,552


Adjustments for:

Depreciation and amortization 3,104,661,233


Interest expense 1,641,304,190
Interest income 1,445,447,319
Unrealized foreign currency losses (gains) - net 1,086,060,295
Equity share in net losses (earnings) of associates 69,879,672
Employee share options 21,381,914
Dividend income 8,193,611
Loss (gain) on sale of property and equipment 592,954
Gain on finance lease
Gain on sale and dilution of investment in an associate
Gain on sale of investment property
Operating profit before working capital changes 16,233,404,382
Decrease (increase) in trade and other receivables 3,064,093,048
Decrease (increase) in contract assets 737,721,626
Increase in inventories 2,510,261,657
Increase in advances to contractors and suppliers 217,097,481
Decrease (increase) in prepayments and other current assets 699,913,970
Increase in advances to landowners and joint operators 454,495,711
Increase in other non-current assets 887,291,362
Increase in trade and other payables 2,510,777,198
Increase (decrease) in contract liabilities 630,074,260
Increase in customers' deposits 888,463,236
Increase in other liabilities 2,766,117,805
Cash generated from operations 21,985,976,062
Cash paid for income taxes 2,886,445,031

Net Cash From Operating Activities 19,099,531,031

CASH FLOWS FROM INVESTING ACTIVITIES

Additions to:
Investment properties
Property and equipment 6,731,614,968
Interest received 430,709,071
Advances to associates and other related parties: 1,039,449,706
Granted
Collected 260,769,847
Dividends received 35,608,643
Proceeds from sale of property and equipment 8,193,611
Acquisition and subscription of shares of stock of new subsidiaries and associates 6,385,095
Proceeds from sale of investments in an associate and subsidiaries
Proceeds from sale of investment property
Proceeds from issuance of capital stock of subsidiary
Net Cash Used in Investing Activities
6,333,456,831
16.26%
8.59%
7.57%
5.69%
0.37%
0.11%
0.04%
0.00%

84.99%
16.04%
3.86%
1.14%
1.14%
3.66%
2.38%
4.65%
13.15%
3.30%
4.65%
14.48%
115.11%
15.11%

320.73%

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