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GIG
FY 2024 Cash Flow Statement
Reported operating, investing and financing cash movements for the selected period. The figures below are selected reported lines; open the workspace for the complete structured statement.
Selected reported lines
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Year ended 31 December 2024
Reported lineReported valueNote
Total income for the year before zakat and income tax125,453—
Net cash generated from operating activities71,174—
Net cash used in investing activities(61,750)—
Net cash used in financing activities(82,306)—
Cash and cash equivalents at end of the year155,909—
Depreciation of furniture and equipment5,606—
Depreciation of right-of-use assets3,532—
Amortisation of intangible assets8,194—
Finance cost on leases1,629—
Accretion of discount on financial assets at FVOCI(7,890)—
جي آي جي — السنة المالية 2024
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Net cash from financing activities5 source-linked periodsNet cash from investing activities3 source-linked periodsNet cash from operating activities5 source-linked periodsAccretion of discount on financial assets at FVOCI5 source-linked periodsDepreciation of furniture and equipment6 source-linked periodsDepreciation of right-of-use assets6 source-linked periods
Other statements from the same filing.
Cash Flow Statement across available periods.
H1 / Q2 20262026-06-30FY 20252025-12-31H1 / Q2 20252025-06-30FY 20242024-12-31FY 20232023-12-31FY 20222022-12-31H1 / Q2 20222022-06-30Q1 20222022-03-31FY 20212021-12-31Q1 20212021-03-31FY 20202020-12-319M / Q3 20202020-09-30H1 / Q2 20202020-06-30Q1 20202020-03-31FY 20192019-12-319M / Q3 20192019-09-30H1 / Q2 20192019-06-30Q1 20192019-03-31FY 20182018-12-319M / Q3 20182018-09-30H1 / Q2 20182018-06-30Q1 20182018-03-31