SCC Holdings Berhad Annual Report 2019

44 SCC Holdings Berhad | Annual Report 2019 Group Company 2019 2018 2019 2018 RM’000 RM’000 RM’000 RM’000 Cash Flows From Investing Activities Interest received 86 74 6 9 Dividend received - - 4,801 5,333 Purchase of property, plant and equipment (501) (1,239) - - Net changes in investment securities and other investments (547) 1,229 1,400 550 Proceeds from disposal of property, plant and equipment 88 15 - - Increase in investment in a subsidiary - - (41) - Net cash (used in)/from investing activities (874) 79 6,166 5,892 Cash Flows From Financing Activities Subsidiary companies - - (833) (365) Interest paid (71) - - - Dividend paid (4,799) (4,657) (4,799) (4,657) Repayment of lease liabilities (319) - - - Repayment of finance lease liabilities - (25) - - Net cash used in financing activities (5,189) (4,682) (5,632) (5,022) Net changes in cash and cash equivalents (1,104) 430 (249) (217) Cash and cash equivalents at beginning at beginning of the of the financial year 6,642 6,167 678 895 Effect of exchange translation differences on cash and cash equivalent 226 45 - - Cash and cash equivalents at end of the financial year 5,764 6,642 429 678 Cash and cash equivalents at the end at the end of the financial of the financial year comprises: Cash and bank balances 5,764 6,769 429 678 Bank overdraft - (127) - - 5,764 6,642 429 678 statements of cash flows for the financial year ended 31 december 2019 (cont’d) The accompanying notes form an integral part of the financial statements.

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