香港土地註冊處營運基金
The Land Registry Trading Fund Hong Kong
80
現金流量表
(續)
Statement of Cash Flows
(continued)
附註
Note
2014
2013
融資項目的現金流量
Cash flows from financing activities
已付股息
Dividend paid
(71,510)
(49,171)
融資項目的現金流出淨額
Net cash used in financing activities
(71,510)
(49,171)
現金及等同現金的
增加淨額
Net increase in cash and
cash equivalents
33,401
111,464
在年初的現金及
等同現金
Cash and cash equivalents at
beginning of year
329,756
218,292
在年終的現金及
等同現金
Cash and cash equivalents at
end of year
20
363,157
329,756
第
81
至
106
頁的附註為本財務報表的一部分。
The notes on pages 81 to 106 form part of these financial statements.