50.4 Cash flows from discontinued activities

Table 1

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Year ended
31 December 2020
Year ended
31 December 2019
Net cash from operating activity 180,456 217,164
Net cash from investment activity (95,996) (75,882)
Net cash from financing activity (1,525) (4,734)
Net increase in cash and cash equivalents on discontinued
operations
82,935 82,935