18. INVESTMENT IN SUBSIDIARIES (CONTD.) Summarised financial information (contd.) (iii) Summarised statements of cash flows KOA* KAMS* Rimbunan Melati MEEM 2024 RM’000 2023 RM’000 2024 RM’000 2023 RM’000 2024 RM’000 2023 RM’000 2024 RM’000 2023 RM’000 Net cash generated from/ (used in) operating activities 2,325 – 4,167 – (319) (128) (7,548) (5,924) Net cash generated from investing activities (90) – – – 66 71 959 445 Net cash (used in)/ generated from financing activities – – – – – (8,000) – 13,036 Net (decrease)/increase in cash and cash equivalents 2,235 – 4,167 – (253) (8,057) (6,589) 7,557 Net foreign exchange differences (90) – (32) – – – 14 494 Cash and cash equivalents at the date of acquisition/beginning of the year 3,884 – 516 – 3,749 11,806 8,051 – Cash and cash equivalents at end of the year 6,029 – 4,651 – 3,496 3,749 1,476 8,051 * No comparative disclosure for KOA and KAMS as the acquisition were completed in the financial year 2024. Notes to the Financial Statements For the year ended 31 December 2024 327 FINANCIAL STATEMENTS
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