貿易通 2021 年年報
119 二零二一年年報 貿易通電子貿易有限公司 For the year ended 31 December 2021 截至二零二一年十二月三十一日止年度 Consolidated Cash Flow Statement (Continued) 綜合現金流量表(續) 2021 2020 二零二一年 二零二零年 Note HK$’000 HK$’000 附註 港幣千元 港幣千元 Financing activities 融資活動 Capital element of lease rentals paid 已付租賃租金的資本元素 (1,222) (1,093) Interest element of lease rentals paid 已付租賃租金的利息元素 (41) (58) Dividends paid to equity shareholders of the Company 已付本公司股權持有人的 股息 (79,861) (67,146) Net cash used in financing activities 融資活動所用的現金淨額 (81,124) (68,297) Net increase/(decrease) in cash and cash equivalents 現金及現金等值增加╱(減少) 淨額 61,677 (28,228) Cash and cash equivalents as at 1 January 於一月一日的現金及 現金等值 102,956 131,184 Cash and cash equivalents as at 31 December 於十二月三十一日的現金及 現金等值 164,633 102,956 Analysis of cash and cash equivalents 現金及現金等值分析 Bank deposits with maturity less than 3 months 於三個月內到期的銀行 存款 138,414 46,568 Cash at bank and on hand 銀行及手頭現金 26,219 56,388 164,633 102,956
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