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Amendment #4 Page 698 of 868
.ble (nilfrn
Hidroelectrica Santa Cruz S.A.C.
Statements of cash flows
For the years ended December 31. 2014 and 2013
2014 2013
84000) Sr.(000)
Operating activities
Ccaectiore from customers 25,416 25,328
Payments to svppoers (5.942) (9.320)
Payments of taxes, trterest and other, net (7,576) (14.314)
Net cash flow from operating activities 11.898 1,684
Investing activities
Restncted funds (101) (1,099)
ROOODse of property, plant and emaprrent (1.230) (1121)
Purchase of intangbie assets (58) (23)
NM cash used in investing activities (1,389) (2,2431
Financing activities
Repayment of borrowings (7,707) (28373)
Dvidends pad (4.376) (2223)
Ploceeds from borrowings — 31,653
Net cash flows from (used In) enandng activities (12 083) 1,057
Net increase (decrease) In cash and cash equivalents for the period (1.574) 508
Cash and cash equivalents al begnnng of year 2 980 2,472
Cash and cash equivaMnts at year—end 1 406 2,960
F.376
http://cfdocs.btogo. corn:27638/cf/dna/pub/edgar/2015/07/20/0001193125-15-256461/d78... 7/20/2015
CONFIDENTIAL - PURSUANT TO FED. R. GRIM. P. 6(e) DB-SDNY-0058655
CONFIDENTIAL SDNY_GM_00204839
EFTA01367127
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