TMR

2016 Annual Report

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TMR 2016 Annual Repor t | 15 USD '000 2016 2015 Cash flows from investing activities +PVGTGUVTGEGKXGF 2WTEJCUGQHKPXGUVOGPVU 2TQEGGFUQPUCNGUCPFOCVWTKVKGUQHKPXGUVOGPVU 2WTEJCUGQHRTQRGTV[CPFGSWKROGPV 2WTEJCUGQHKPVCPIKDNGCUUGVU Net cash used in investing activities (210,259 ) (34,218 ) %CUJHNQYUHTQOƒPCPEKPICEVKXKVKGU +PVGTGUVRCKF &KXKFGPFURCKF 0GVECUJWUGFKPƒPCPEKPICEVKXKVKGU 0GVKPETGCUGKPECUJCPFECUJGSWKXCNGPVU (QTGKIPGZEJCPIGICKPUQPECUJCPFECUJGSWKXCNGPVU %CUJCPFECUJGSWKXCNGPVUCVDGIKPPKPIQH[GCT Cash and cash equivalents at end of year 313,775 279,037 5GGCEEQORCP[KPIPQVGUVQEQPUQNKFCVGFƒPCPEKCNUVCVGOGPVU CONSOLIDATED STATEMENT OF CASH FLOWS (continued) ;GCTUGPFGF&GEGODGTCPF

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