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NoteYear ended
26 March
2022
£000
Year ended
27 March
2021
£000
Net cash flow from operating activities26(5,685)25,349
 
Cash flows from investing activities
Proceeds on disposal of other property, plant and equipment376104
Purchases of land and buildings(2,759)(247)
Purchases of intangible assets(124)(276)
Purchases of other property, plant and equipment(2,507)(6,097)
Investment in JVs and associates(2,444)
Investment in subsidiary entity, net of cash acquired(526)(17,489)
Net cash used in investing activities(5,540)(26,449)
 
Cash flows from financing activities
Interest paid(1,056)(699)
Dividends paid(9,229)(8,895)
Proceeds from shares issued885424
Proceeds from borrowings12,000
Repayment of borrowings(5,900)(19,375)
Repayment of lease liabilities(2,432)(1,710)
Net cash used in financing activities(17,732)(18,255)
Net decrease in cash and cash equivalents(28,957)(19,355)
Cash and cash equivalents at beginning of year24,98344,338
Cash and cash equivalents at end of year27(3,974)24,983