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Amendment #4 Page 389 of 868
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Renova Energy Projects I
Condensed combined statements of cash flows for the three-month periods ended
March 31, 2015 and 2014 (Unaudited)
Three month
period ended Match 31
Amounts in thousands of Brazilian Resis—RS Note 2016 2014
CASH FLOWS FROM CPERATiNG ACT fVITIES
Net Income 14,119 8,162
Adjustments to reconcile Net Inoome to cash provided by operatng active es
Deprecation 7, 16 16.869 16,972
Interest on borrowings 8. 17 17.537 17.535
DelX isuence casts 8 155 153
Interest on short arm irreestments and restnded Cocotte 17 (5.563) (4,332)
(Increase) decrease in comaing assets
Trade receivables 1,217 (1,991)
Prepaid and recoverade taxes 2437 70
Other assets 326 607
Increase (decrease) in operating liabittes
Trade payables (2 035) (221)
Tama payable 628 2,0)9
Enerqv balance—COEVEletrobres. nel (2.424) 3.524
Other parables 208 1
Cuter cash flows from operating activities
Promo and Kcal contnbuton taxes pad (1.921) (1,722)
interest paid on borrowings 8 (17,430) (17.770)
Net cash provided by operateg aotmhes 24.063 23.327
CASH FLOWS FROM INVESTING ACTIVITIES
Short4emi swestnents (6.744) 16,203
Reseided deposits (10.531) (9.109)
%These of property. pent and equipment (3 832)
Net rash (uSed WO Melded by inveSZing aCtNheS (21,107) 7,184
CASH FLOWS FROM FINANCING ACTIVITIES
Paymerts on benches-9s 8 (17.029) (78.OSS)
Others transfers from parent. net 3.419 3.134
Payment of dvidends 14 — (16.830)
Net cash used n Insincing admits (13.610) (32,X4)
(DECREASE) INCREASE IN CASH ANDCASH EQUIVALENTS (10 664) 147
Cash and cash equivalents at begrong of period 4 34,109 20,799
Cash and cash equivalents at end of period 4 23,455 20,946
(ECREASE) INCREASE IN CASH AND CASH EQUIVALENTS (10.654) 147
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F.69
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-0058346
CONFIDENTIAL SDNY_GM_00204530
EFTA01366818
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