187 FINANCIAL STATEMENTS NOTES TO THE STATEMENTS OF CASH FLOWS A. Additions of right-of-use assets Group Company 2024 2023 2024 2023 RM’000 RM’000 RM’000 RM’000 Total purchase of right-of-use assets 40,719 10,281 791 608 Less: Acquisition by means of lease liabilities (2,851) (2,168) (791) (608) 37,868 8,113 - - B. Cash outflow for leases as lessee Group Company 2024 2023 2024 2023 Note RM’000 RM’000 RM’000 RM’000 Included in net cash from operating activities Payment relating to short-term leases 35 1,540 3,809 287 508 Payment relating to low-value assets 35 162 114 75 48 1,702 3,923 362 556 Included in net cash from financing activities Interest paid on lease liabilities 34, 35 2,562 2,096 19 14 Payment of lease liabilities 11,080 9,640 430 316 13,642 11,736 449 330 15,344 15,659 811 886 C. Purchase of investment properties Group 2024 2023 RM’000 RM’000 Total purchase of investment properties - 1,785 Less: Acquisition by means of lease liabilities - (1,785) - - STATEMENTS OF CASH FLOWS ʹˢ˥ ˧˛˘ Ѓˡ˔ˡ˖˜˔˟ ˬ˘˔˥ ˘ˡ˗˘˗ ʦʤ ʷ˘˖˘ˠ˕˘˥ ʥʣʥʧ (cont’d)
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