170 KEYFIELD INTERNATIONAL BERHAD 202001038989 (1395310-M) NOTES TO THE FINANCIAL STATEMENTS 31 DECEMBER 2024 (cont’d) 29. CASH FLOW INFORMATION (a) The cash disbursed for the purchase of property, plant and equipment and the addition of rightof-use assets are as follows:- The Group 2024 2023 RM’000 RM’000 Property, plant and equipment Cost 152,093 160,588 Less: Trade and other payables (4,738) (52) Less: Addition through instalment arrangement (Note 29(b)) - (130,000) Add: Payments in respect of previous financial year’s purchases 52 1,036 147,407 31,572 Right-of-use assets Cost 39,332 13,471 Less: Addition of new lease liabilities (Notes 18 and 29(b)) (39,332) (13,471) - -
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