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Consolidated Statement of Cash FlowsFor the year ended 31 December 2024ESR Group Limited Annual Report 2024129STRATEGIC REPORTSCORPORATE GOVERNANCEFINANCIAL STATEMENTS20242023NotesUS$%u2019000US$%u2019000Cash flows from investing activitiesAcquisition of subsidiaries%u2013(21,291)Additions of investment properties(425,707)(326,165)Additions of other intangible assets20(400)(11,405)Additions of property, plant and equipment(31,209)(16,670)Advances to related parties and joint ventures(50,979)(39,598)Capital injection in financial assets at fair value through other comprehensive income(118,713)(120,371)Capital injection in financial assets at fair value through profit or loss(70,452)(64,925)Capital injection in joint ventures and associates(425,056)(612,952)Capital redemption on financial assets at fair value through other comprehensive income12,7761,144Disposal of assets held for sale262,95752,217Disposal of financial assets at fair value through other comprehensive income16,376%u2013Disposal of financial assets at fair value through other profits or loss1,58722,224Disposal of interests in joint ventures and associates74730,654Disposal of investment properties296,74961,494Disposal of property, plant and equipment259%u2013Disposal of subsidiaries113,13175,646Distributions from financial assets at fair value through profits or loss32,08627,963Distributions from joint ventures and associates123,831111,910Dividend income from quoted financial assets55,10653,589Dividend income from unquoted financial assets21,18126,935Release/(Increase) in non-pledged fixed time deposits with a maturity period over three months2,136(3,850)Interest received17,55419,371Investment in other investments(85)(3,485)Loan to third parties%u2013(10,381)Payment of contingent consideration payables(4,552)%u2013Prepayments for acquiring land use rights(19,199)(60,752)Repayment of loans to directors of the Company10,957%u2013Repayment from joint ventures and financial assets at fair value through profit or loss upon disposal of subsidiaries%u201350,532Net cash flows used in investing activities(178,919)(758,166)