CMB_1998_Copy2 — Page 24

China Motor Bus Annual Reports 中華巴士年報 All

Consolidated Cash Flow Statement for the Year Ended 30th June, 1998

(Expressed in Hong Kong dollars)

NOTE

1998

1997

$000's

$000's

$000's

$000's

NET CASH INFLOW FROM OPERATING

ACTIVITIES

(a)

RETURNS ON INVESTMENTS AND SERVICING

OF FINANCE

Dividend received from associated company

Dividends from listed investments

Interest received

Unclaimed dividends forfeited

Dividends paid

NET CASH INFLOW/(OUTFLOW) FROM RETURNS ON INVESTMENTS AND SERVICING OF FINANCE

53,547

51,615

2,243,594 96

29

154,562 112

50,368

198

(272,983)

(241,519)

2,125,381

(190,924)

(1,621)

(5,551)

TAXATION

Hong Kong profits tax paid

INVESTING ACTIVITIES

Purchase of listed investments

Purchase of fixed assets

Sale of fixed assets

(Advance)/repayment of loans from associated companies

(333,877)

572 (335,400)

(10) (54,125)

135 436,584

NET CASH (OUTFLOW)/INFLOW FROM

INVESTING ACTIVITIES

(668,705)

382,584

INCREASE IN CASH AND CASH EQUIVALENTS

1,508,602

237,724

CASH AND CASH EQUIVALENTS AT 1ST JULY

1,064,026

826,302

CASH AND CASH EQUIVALENTS AT 30TH JUNE

(b)

2,572,628

1,064,026

19

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