Zetrix AI Berhad Annual Report 2025

NOTES TO THE STATEMENTS OF CASH FLOWS (CONT’D) D. Acquisition of other investments Group 2025 2024 RM’000 RM’000 Net changes during the financial year (9,892) 106,796 Less: Fair value loss/(gain) in profit or loss 18,714 (15,602) Less: Addition through disposal of a subsidiary - (60,520) Add: Disposal 15,247 10,407 24,069 41,081 E. Proceeds from disposal of other investments Group 2025 2024 RM’000 RM’000 Total disposal of other investments 15,247 10,407 Less: Balance included in other receivables - (4,162) 15,247 6,245 F. Subsidiaries Company 2025 2024 RM’000 RM’000 Changes during the financial year 339,279 (131,770) Add: Dividend receivable - 325,000 339,279 193,230 STATEMENTS OF CASH FLOWS For the Financial Year Ended 31 December 2025 (cont’d) The accompanying notes form an integral part of the financial statements. 210

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