Page 129 - One report AUCT2024_Eng
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  Union Auction Public Company Limited
Statement of cash flows (continued)
For the year ended 31 December 2024
Cash flows from investing activities
Cash paid for other current financial assets
Cash received from other current financial assets
Increase in restricted bank deposits
Cash paid for purchases of leasehold improvements, buildings and equipment
Note
2024
(Unit: Baht)
2023
(926,537,665) 1,085,541,499 (3,715)
(91,689,887) 1,109,504 (69,059) (29,610,479) 4,403,011 43,143,209
(73,354,590)
(24,197,168) (310,743,521) (408,295,279)
344,716,770 98,369,364 443,086,134
(354,095)
(2,692,066) 46,782,580
Part 3
Financial Statements
  (450,087,656)
410,086,702
(123,165)
(114,087,589)
769,614
(30,220,699)
(2,057,345)
7,627,387
 (178,092,751)
 (77,630,718)
(26,989,281)
(395,999,417)
 (500,619,416)
 (273,675,557)
443,086,134
 169,410,577
  (845,519)
493,216
258,000,261
Proceeds from sales of equipment
Cash paid for acquisition of right-of-use assets
Cash paid for intangible assets
Interest received
Net cash flows from (used in) investing activities
Cash flows from financing activities
Payment of principal portion of lease liabilities
Interest paid 14.2 Dividend paid 21 Net cash flows used in financing activities
Net increase (decrease) in cash and cash equivalents
Cash and cash equivalents at beginning of year
Cash and cash equivalents at end of year
Supplementary disclosures of cash flows information
Non-cash transactions
Decrease in accounts payable for acquisitions of leasehold improvements, buildings and equipment
Increase (decrease) in payables for purchases of intangible assets
Increase in right-of-use assets
The accompanying notes are an integral part of the financial statements.
         บริษัท สหการประมูล จากัด (มหาชน)
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Union Auction Public Company Limited







































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