Key Financials
HY2024 K'000 |
2023 K'000 |
2022 K'000 |
|
---|---|---|---|
Revenue and other income from continuing operations | 358,081 | 669,296 | 631,262 |
Operating Profit | 37,015 | 78,755 | 80,961 |
Profit attributed to shareholders | 25,271 | 58,144 | 57,985 |
Cash generated from operations | 53,368 | 103,559 | 183,519 |
Net cash (outflow)/inflow before financing | (16,967) | (145,255) | 30,096 |
Shareholders' funds | 1,059,261 | 1,052,595 | 1,027,010 |
External borrowings | 361,655 | 420,218 | 263,084 |