Water Oasis Group Ltd. reported audited consolidated cash flows results for the year ended September 30, 2012. For the period, the company reported
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.