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CASH FLOW INFORMATION (Tables)
12 Months Ended
Dec. 31, 2022
Disclosure Of Cash Flow Information [Abstract]  
Summary of Investing Activities with Partial Cash Payments
28(a)    Investing activities with partial cash payments
(i)Purchase of PPEFor the year end December 31,
20222021
US$’000 US$’000
Acquisition of property, plant and equipment3,553 8,657 
Add: Payable for PPE or CIP - Opening173 196 
Less: Payable for PPE or CIP - Ending(152)(173)
Less: Prepayment for PPE & CIP - Opening(427)(561)
Add: Prepayment for PPE & CIP - Ending599 428 
Cash paid during the year3,746 8,547 
Summary of Reconciliation of Liabilities Arising from Financing Activities
28(b)    Reconciliation of liabilities arising from financing activities
Interest -bearing loans and borrowings Lease liabilities Total
US$’000 US$’000 US$’000
Balance at January 1, 202113,781 2,334 16,115 
Changes in cash flows54,161 (632)53,529 
Foreign exchange adjustments(2,555)(76)(2,631)
Acquisition lease— 906 906 
Other changes— 
Remeasurement— (47)(47)
Balance at December 31, 202165,387 2,487 67,874 
Changes in cash flows(5,176)(616)(5,792)
Foreign exchange adjustments(2,480)(44)(2,524)
Acquisition lease— 851 851 
Other changes— (15)(15)
Remeasurement— (89)(89)
Balance at December 31, 202257,731 2,574 60,305