SFK Construction Holdings Limited announced audited consolidated cash flow results for the year ended December 31, 2016. For the year, the company reported net cash generated from operating activities of HKD 123,769,000 against net cash used in operating activities of HKD 217,710,000 a year ago. Payment for the purchase of property, plant and equipment was HKD 10,667,000 against HKD 7,258,000 a year ago.