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FoR BetteR RetuRns  Annual Report 2022  143


                                                   statements of
                                                    cash flows
                                          for the year ended 31 december 2022


                                                                    Group                     KWAP
                                                               2022         2021         2022         2021
                                                             RM’000       RM’000       RM’000       RM’000

          Cash Flows From Investing Activities
          proceeds from sale of financial instruments
            at amortised cost                              1,569,467     450,000     1,569,467     450,000
          purchase of financial instruments
            at amortised cost                             (2,127,527)  (1,019,852)  (2,127,527)  (1,019,852)
          proceeds from sale of financial assets
            designated at fair Value through
            profit or loss                                12,710,024   11,560,070   12,710,024   11,560,070
          purchase of financial assets
            designated at fair Value through
            profit or loss                               (13,260,536)  (15,125,954)  (13,260,536)  (15,125,954)
          proceeds from sale of fVoci investments          5,637,046    4,691,542    5,637,046    4,691,542
          purchase of fVoci investments                   (9,934,989)  (8,316,363)  (9,934,989)  (8,316,363)
          deposits and placements With financial institutions   (92,419)  168,542      (92,419)    168,542
          purchase of property and equipment                  (4,074)      (8,003)      (3,510)      (7,562)
          purchase of computer softwares                       (343)       (1,274)       (329)       (1,274)
          purchase of investment properties                  (20,816)  (1,022,452)          -            -
          issuance of loans                                       -            -      (253,819)          -
          proceed from sale of asset held for sale          453,559            -            -            -
          proceeds from disposal of property
            and equipment                                         -      482,301            -            -
          interest received                                2,701,206    2,568,874    2,701,206    2,568,874
          dividend received                                2,654,698    2,789,509    2,654,698    2,789,509
          (increase)/decrease in derivatives              (1,026,422)     34,468    (1,031,266)     97,292
          (increase)/decrease in investments
            in subsidiaries, associates and JV               (25,691)     52,749      (244,105)    (762,332)
          benefits paid                                         (36)          (8)         (36)          (8)
          receipt on repayment of loans                    1,966,598    2,481,583    2,278,575    2,481,583
          increase in investment in land
            held for development                             (30,954)     (70,168)          -            -
          Net Cash Generated From/(Used In)
            Investing Activities                           1,168,791     (284,436)    602,480      (425,933)
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