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Integrated Annual Report 2024

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Financial statements

Financial statements

Consolidated statement
of cash flows

For the year ended 31 December
Notes
2024
AED
2023
AED
Operating activities
Profit for the year before tax 491,681,389 586,407,899
Adjustments for:
Depreciation on property and equipment 5 1,730,007 3,271,862
Depreciation on right of use asset 7 2,542,969 211,364
Amortisation of intangible assets 6 31,499,278 30,732,894
Income from financial assets carried at fair value through profit or loss 16 (122,795,687)
Interest expense on lease liability 7 382,143 38,055
Provision for employees’ end of service benefits 12 4,871,160 4,286,824
Gain on disposal of property and equipment (6,538)
Interest income (12,725,625) (8,698,380)
519,981,321 493,448,293
Working capital changes:
Amounts due from related parties 353,154 (289,966)
Trade and other receivables (178,379,108) (19,505,309)
Trade and other payables (5,197,336) 6,444,006
Cash generated from operating activities 336,758,031 480,097,024
Employees’ end of service benefits paid 12 (1,985,848) (2,582,414)
Net cash flows from operating activities 334,772,183 477,514,610
Investing activities
Purchase of property and equipment 5 (1,998,949) (1,162,776)
Purchase of financial assets carried at
fair value through profit or loss
(61,464,112)
Proceeds from disposal of financial assets
carried at fair value through profit or loss
418,270,957
Dividend income from financial assets
at fair value through profit or loss
20,414,682
Receipt of amounts due from related parties 109,402,334 280,856,346
Proceeds from disposal of property and equipment 6,538
Interest income received 12,927,921 5,386,924
Purchase of intangible assets 6 (114,290,814) (31,739,268)
Net cash flows from investing activities 6,040,492 630,569,291
Financing activities
Repayment of lease liability 7 (2,699,232) (258,931)
Dividends paid 24 (203,588,000) (1,017,489,192)
Net cash flows used in financing activities (206,287,232) (1,017,748,123)
Net increase in cash and cash equivalents 134,525,443 90,335,778
Cash and cash equivalents at the beginning of the year 261,773,715 171,437,937
Cash and cash equivalents at the end of the year 9 396,299,158 261,773,715
Significant non-cash transactions
Issuance of share capital 10 70,000,000
Addition to intangible assets 9,239,236 4,106,432
Dividend paid through a related party 24 614,606,186

The attached notes 1 to 24 form part of these consolidated financial statements.

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