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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.
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Year ended 31 December 2024 · thousands
Reported lineReported valueNote
Net profit before zakat and income tax1,641,774—
Net cash generated from operating activities1,509,256—
Net cash (used in) / generated from investing activities(2,126,870)—
Net cash used in financing activities(807,470)—
OPERATING ACTIVITIES2024—
Adjustments for: Depreciation and amortization242,657—
Depreciation – right of use assets44,347—
Expected credit losses on trade receivables and contract assets, net54,81829
End of service indemnities expense133,33429
Share-based payment expense9,59929
سلوشنز — السنة المالية 2024
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Net cash from financing activities6 source-linked periodsNet cash from operating activities5 source-linked periodsAdjustments for: Depreciation and amortization6 source-linked periodsDepreciation – right-of-use assets10 source-linked periodsEnd of service indemnities expense6 source-linked periodsNet profit before zakat and income tax3 source-linked periodsShare based payment expense6 source-linked periods