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                                    Consolidated Statement of Cash FlowsFor the year ended 31 December 2024130ADVANCING AHEAD20242023NotesUS$%u2019000US$%u2019000Cash flows from financing activitiesAcquisition of non-controlling interests(67,626)(14,898)Capital contribution from non-controlling interests5,26110,154Changes in pledged bank deposits and restricted cash balances(44,850)15,847Distribution paid to holders of perpetual capital securities(42,061)(41,755)Dividend distributions to non-controlling interests(2,681)(38,889)Dividend distributions to shareholders(67,375)(139,630)Interest of bank and other borrowings paid30(330,432)(309,911)Principal portion of lease payments30(15,058)(14,168)Proceeds from bank and other borrowings301,995,8961,809,814Redemption of convertible bonds%u2013(349,200)Repayment of bank and other borrowings30(1,466,162)(835,550)Share repurchased(78,085)(217,770)Transfer of interest to non-controlling interests without change of control%u20132,912Net cash used in financing activities(113,173)(123,044)Net decrease in cash and cash equivalents(4,045)(738,423)Cash and cash equivalents at beginning of year924,9381,717,672Effect of foreign exchange rate changes, net(130,523)(54,311)Cash and cash equivalents at end of year790,370924,938ANALYSIS OF BALANCES OF CASH AND CASH EQUIVALENTSCash and bank balances913,9791,001,568Cash and short-term deposits attributable to the disposal group held for sale4,9129,281Non-pledged fixed time deposits with a maturity period over three months(1,714)(3,850)Pledged bank deposits24(949)(632)Restricted bank balances24(125,858)(81,429)Cash and cash equivalents as stated in the consolidated statement of cash flows790,370924,938
                                
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