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FY 2021 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.
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31 December 2021 · SAR’000
Reported lineReported valueNote
Incomefortheyearbeforezakat6,718,060—
Accretionofdiscounts and amortisationofpremiumonnon-fairvaluethroughincomestatement(FVIS)(23,575)—
instruments,net Gainsonnon-tradinginvestments,net(407,521)—
Gainsontradinginvestmentsnet(8,378)—
Dividendincome(126,969)—
(Gains)lossonsaleofpropertyandequipment,net(359)10
Depreciationofproperty,equipmentandrightofuseassets493,19310
Share in losses (earnings)of associates,net32,49810
Impairmentchargeforinvestments,net1,9278e)
Impairmentchargeforcredit lossesandotherfinancialassets,net850,7578e)
رياض — السنة المالية 2021
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