L ( period length )
six months ended
six months ended
profit before income tax
6583865
10 622 670
net loss on disposal of property plant and equipment
35226
42 125
loss on disposal of intangible assets
−
4 672
-net gain/loss on cancelation of lease contracts
-21379
5 582
interest expense
4031379
5 177 821
interest income
-320387
-458 103
reversal of write-down of inventories to net realisable value
-271931
-109 044
net foreign exchange losses
589195
271 959
change in expected credit losses of accounts receivable
70376
-1 371
changes in allowance for impairment and write-offs of
advances paid and prepayments for construction
340172
44 786
depreciation and amortisation
9754249
9 239 580
impairment / -reversal of impairment of non-financial assets
9098
-41 754
share options expense
−
199 808
movements in working capital
decrease in trade and other receivables
2809298
2 182 309
increase in advances paid
-239924
-344 570
decrease/-increase in prepaid expenses
37593
-364 636
decrease in inventories
3047252
360 578
decrease in trade and other payables
-17871108
-14 270 661
decrease in contract liabilities and advances received
-113669
-94 081
increase in net other taxes payable
1977808
639 111
cash from operating activities
10447113
13 106 781
income taxes paid
-936166
-2 038 733
interest received
272755
533 726
interest paid
-4040247
-5 379 545
net cash generated from operating activities
5743455
6 222 229
cash flows from investing activities
purchases of property plant and equipment
-4568341
-3 151 280
purchases of intangible assets
-407205
-363 601
proceeds from sale of property plant and equipment
124970
14 314
net cash used in investing activities
-4850576
-3 500 567
cash flows from financing activities
proceeds from borrowings
21965200
30 842 004
repayments of borrowings
-12538465
-86 400 001
payments for the principal portion of the lease liabilities
-1653169
-1 284 036
net cash generated from / -used in financing activities
7773566
-56 842 033
net increase/-decrease in cash and cash equivalents
8666445
-54 120 371
effect of exchange rates on cash and cash equivalents
-614742
38 838
cash and cash equivalents at the beginning of the period
21808874
73 404 760
cash and cash equivalents at the end of the period
29860577
19 323 227