Water Oasis Group Ltd. Reports Audited Consolidated Cash Flows Results for the Year Ended September 30, 2012
net cash from operating activities was HKD 60,982,000 against HKD 174,504,000 a year ago. Purchase of property, plant and equipment was HKD 30,830,000 against HKD 24,889,000 a year ago. Increase in intangible assets was HKD 1,194,000 against HKD 88,000 a year ago.