阿尔法企业 二零一八中期报告
Condensed Consolidated Statement of Cash Flows
For the six months ended 30 September 2018
Six months ended 30 September
2018 2017
HK$’000 HK$’000
(Unaudited)(Unaudited)
Net cash generated from/(used in)
operating activities 427 (29,871)
Net cash used in investing activities (101) (91)
Net cash generated
from financing activities – 8,000
Net increase/(decrease)
in cash and cash equivalents 326 (21,962)
Cash and cash equivalents
at beginning of period 35,548 30,144
Effect of foreign exchange
rate change, net – –
Cash and cash equivalents
at end of period 35,874 8,182
Analysis of balances of cash
and cash equivalents 35,874 8,182
8 30
The notes on pages 8 to 30 form an integral part of these financial
statements.
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