Statements of Cash Flows
For the year ended 31 March 2011 (continued)
Group
Company
2011
2010
2011
2010
Note
RM'000
RM'000
RM'000
RM'000
Income taxes (paid)/refund
(22,926)
(13,871)
436
-
Interest paid
(5,090)
(3,925)
(1,418)
(575)
Interest received
1,098
800
11,863
7,853
Net cash generated from operating
activities
130,846
153,706
7,818
4,659
Cash flows from investing activities
Acquisition of subsidiary, net of cash
37.1
(498)
-
-
-
Acquisition of business
37.2
(2,209)
-
-
-
Acquisition of associate
35.8
(29,506)
-
-
-
Proceeds from disposal of investment
276
-
-
-
Proceeds from disposal of asset held
for sale
-
1,687
-
-
Proceeds from disposal of property,
plant and equipment
2,710
5,402
63
-
Proceeds from disposal of prepaid lease
rights
300
116
-
-
Purchase of investment property
(811)
(219)
-
-
Purchase of prepaid lease rights
(9,874)
(3,872)
-
-
Purchase of property, plant and
equipment
(201,409)
(114,485)
(511)
(129)
Purchase of intangible assets
(598)
(856)
-
-
Dividend received from investments
673
338
380
94
Dividend received from subsidiaries
-
-
29,662
59,271
Dividend received from associates
806
538
-
-
Investment in quoted shares
(11,568)
-
(11,568)
-
Net cash (used in)/generated from
investing activities
(251,708)
(111,351)
18,026
59,236
Cash flows from financing activities
Advances to subsidiaries
-
-
(184,388)
(91,939)
Contribution from minority shareholders
757
2,638
-
-
Dividend paid to minority shareholders
(2,371)
(2,428)
-
-
Dividend paid to shareholders of the
Company
(29,503)
(22,838)
(29,503)
(22,838)
Interest paid
(13,352)
(9,807)
(11,315)
(6,836)