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H1 / Q2 2026 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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Six months ended 30 June 2026 · thousands
Reported lineReported valueNote
Net cash generated from / (used in) operating activities499,632—
Net cash generated from investing activities211,649—
Net cash used in financing activities(963,666)—
Profit before zakat and income tax889,063—
Adjustments for: Depreciation and amortization118,833—
Depreciation - right of use assets64,518—
Expected credit loss reversal on trade receivables and contract assets(1,039)—
End of service indemnities expense75,688—
Share-based payment expense7,952—
Recognition / (reversal) of provision for contract losses and advances to suppliers6,788—
سلوشنز — النصف الأول 2026
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