, QUESTION 1
Qina Cement CC - Statement of Cash Flows (Extract) for the year
ended 28 February 2025
Cash flows from investing
Note R
activities
Proceeds from sale of
1 95,550
machinery
Proceeds from sale of vehicle 2 27,000
Acquisition of land and
3 -266,600
buildings
Acquisition of machinery and
4 -445,700
equipment
Acquisition of vehicles 5 -184,200
Net cash used in investing
-773,950
activities
Workings for Question 1
Item
Qina Cement CC - Statement of Cash Flows (Extract) for the year
ended 28 February 2025
Cash flows from investing
Note R
activities
Proceeds from sale of
1 95,550
machinery
Proceeds from sale of vehicle 2 27,000
Acquisition of land and
3 -266,600
buildings
Acquisition of machinery and
4 -445,700
equipment
Acquisition of vehicles 5 -184,200
Net cash used in investing
-773,950
activities
Workings for Question 1
Item