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stc
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.
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Year ended 31 December 2019 · thousands
Reported lineReported valueNote
CASHFLOWSFROMOPERATINGACTIVITIES2019—
Netprofitbeforezakatandincometax11,686,975—
Adjustments: Depreciationandamortisation8,784,5877,8,9
Impairmentlossandamortisationofcontractcostsandcontractassets506,9517,8,9
Impairmentlossontradereceivables662,04311
Allowanceforslowmovinginventories57,08610
Financeincome(639,161)38
Financecost765,15439
Provisionforendofservicebenefitsandotherprovisions935,30439
Shareinresultsofinvestmentsinassociatesandjointventures,net(49,597)40
stc — السنة المالية 2019
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Allowanceforslowmovinginventories5 source-linked periodsCASHFLOWSFROMOPERATINGACTIVITIES6 source-linked periodsFinanceincome10 source-linked periodsImpairmentlossontradereceivables8 source-linked periodsNetprofitbeforezakatandincometax5 source-linked periodsProvisionforendofservicebenefitsandotherprovisions3 source-linked periods