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stc
H1 / Q2 2025 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 2025 · thousands
Reported lineReported valueNote
Netprofitfromcontinuingoperationsbeforezakatandincometax7,094,771—
Adjustmentsfor: Depreciation,amortizationandimpairment5,081,4555,7,8
Impairmentlossandamortizationofcontractassetsandcosts193,4295,7,8
Impairmentlossontradereceivables183,161—
Allowancefor(reversalof) slowmovinginventories18,188—
Financeincome(810,438)—
Financecost554,016—
Provisionforendofservicebenefitsandotherprovisions andexpenses260,559—
Netshareinresultsofinvestmentsinassociatesandjointventures(141,960)—
Share-basedpaymentexpenses50,821—
stc — النصف الأول 2025
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