Datasonic Group Berhad Annual Report 2019
Statements of Cash Flows (Cont’d) For the Financial Year ended 31 March 2019 Group Company 2019 2018 2019 2018 Note RM’000 RM’000 RM’000 RM’000 CASH FLOWS (FOR)/FROM INVESTING ACTIVITIES Additional investment in a subsidiary 39 – – (10) (775) Interest received 720 967 536 735 Dividend received – – 42,000 63,400 Development expenditures paid (58) (799) – – Proceeds from disposal of plant and equipment 42 # 7 – Purchase of property, plant and equipment (24,083) (49,029) (1,320) (853) Placement of short-term investments (2,565) – (2,565) – Proceeds from disposal of short-term investments – 28,002 – 28,002 (Placement)/Withdrawal of deposits pledged to licensed banks (111) 262 23 (2) NET CASH (FOR)/FROM INVESTING ACTIVITIES (26,055) (20,597) 38,671 90,507 Note: # - Amount less than RM1,000. The annexed notes form an integral part of these financial statements. 108 DATASONIC GROUP BERHAD (Company No. 809759-X) ANNUAL REPORT 2019
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