p 159 MISC BERHAD - Annual Report 2014 STATEMENTS OF CASH FLOWS for the year ended 31 December 2014 Group Corporation Note 2014 2013 2014 2013 RM’000 RM’000 RM’000 RM’000 Operating activities Cash receipts from customers 8,902,086 9,328,811 1,293,636 3,420,774 Cash paid to suppliers and employees (5,954,846) (7,206,002) (735,254) (1,919,268) Cash generated from continuing operations 2,947,240 2,122,809 558,382 1,501,506 Taxation paid (101,529) (42,819) – – Net cash generated from continuing operations 2,845,711 2,079,990 558,382 1,501,506 Net cash used in discontinued operations 40(b) – (68,828) – (68,628) Net cash generated from operating activities 2,845,711 2,011,162 558,382 1,432,878 Investing activities Net cash (used in)/generated from continuing operations (176,815) (1,643,237) 1,752,778 (1,322,634) Net cash generated from discontinued operations 40(b) – 15,063 – 12,115 Net cash (used in)/generated from investing activities 28 (176,815) (1,628,174) 1,752,778 (1,310,519) Financing activities Net cash (used in)/generated from continuing operations (2,819,326) 170,449 (1,967,911) (311,215) Net cash (used in)/generated from financing activities 29 (2,819,326) 170,449 (1,967,911) (311,215)
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