Annual Report 2022

243 年報 2022 ANNUAL REPORT NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS 綜合財務報告附註 35 綜合現金流量表附註 (續) (a) 經營業務而產生之現金 (續) 於綜合現金流量表中,出售物業、 廠房及設備之所得款項如下: 35 NOTES TO THE CONSOLIDATED STATEMENT OF CASH FLOWS (continued) (a) Cash generated from operations (continued) In the consolidated statement of cash flows, proceeds from disposal of property, plant and equipment: Year ended 31 December 截至十二月三十一日止年度 2022 2021 二零二二年 二零二一年 HK$’000 HK$’000 港幣千元 港幣千元 Continuing operations 持續經營業務 Net book amount 賬面淨值 1,678 4,505 (Losses)/gains on disposals of property, plant and equipment, net 出售物業、廠房及設備之 (虧損)╱收益,淨額 (92) 660 Proceeds from disposals of property, plant and equipment 出售物業、廠房及設備之 所得款項 1,586 5,165

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