≈ Cash Flow StatementSAIB
SAIB
FY 2019 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
Quick view of the statement.
31 December 2019 · SAR’000
Reported lineReported valueNote
Net income239,46141 (a)
net cash provided from operating activities premiums on investments, net36,428—
Net cash provided from operating activities8,238,994—
Net cash used in investing activities(968,457)—
Net cash used in financing activities(2,160,555)—
Total other comprehensive income (loss)522,033—
Net accretion of discounts and net amortization of Net change in accrued special commission income193,514—
Net change in accrued special commission expense(33,611)—
Net change in deferred loan fees27,031—
(Gains) losses on FVOCI debt securities, net(43,518)23
الاستثمار — السنة المالية 2019
تعرض هذه الصفحة بنوداً مختارة كما وردت في القوائم المالية. افتح مساحة الشركة لقراءة القائمة المنظمة كاملة والرجوع إلى المصدر الرسمي.
فتح القائمة الكاملة ←Follow key lines across comparable periods.
Net cash from financing activities5 source-linked periodsNet cash from investing activities5 source-linked periodsNet income5 source-linked periodsNet cash provided from operating activities3 source-linked periodsNet change in accrued special commission expense5 source-linked periodsNet change in deferred loan fees6 source-linked periods