CONSOLIDATED STATEMENT OF CASH FLOWS For the year ended 31 December 2021 2021 2020 Notes US$’000 US$’000 Cash flows from investing activities Acquisition of subsidiaries 32 (487,590) (48,558) Additions of investment properties (818,580) (311,391) Additions of other intangible assets 20 (417) (210) Additions of property, plant and equipment (8,261) (2,568) Disposal of financial assets at fair value through other comprehensive income 206,873 – Disposal of investment properties – 364,028 Disposal of property, plant and equipment 9 434 Disposal of subsidiaries 34 (27,569) 136,524 Dividend income from financial assets designated at fair value through other comprehensive income 18,446 15,850 Dividend income from financial assets at fair value through profits or loss 40,026 34,898 Distribution from financial assets at fair value through profits or loss 71,448 71,748 Distribution from joint ventures and associates 181,427 54,608 Increase in non-pledged fixed time deposits with a maturity period over three months – (2,312) Interest received 4,900 3,680 Investment in joint ventures and associates (387,642) (215,809) Investment in financial assets at fair value through profit or loss (113,243) (129,833) Investment in financial assets designated at fair value through other comprehensive income (57,400) (224,555) Investment in other investments (10,545) (3,491) Loan to directors of the Company – (9,200) Prepayments for acquiring land use rights (5,007) (10,360) Proceeds from sale of financial assets at fair value through profit or loss 22,817 11,263 Proceeds from sale of interests in joint ventures and associates 88,504 84,619 Proceeds from other financial instruments – 1,494 Proceeds from disposal of asset held for sale 9,628 – Proceeds from disposal of other assets – 20,540 Release of non-pledged fixed time deposits with a maturity period over three months 2,312 881 Repayment from/(Advances to) related parties 9,084 (100,371) Repayment from a joint venture, subsidiary disposed of, and financial assets at fair value through profits or loss 34 102,073 109,935 Net cash flows used in investing activities (1,158,707) (148,156) E S R C A Y M A N L I M I T E D A N N U A L R E P O R T 2 0 2 1 135
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