Yau Lee Holdings Ltd. announced audited consolidated cash flow results for the year ended 31 March 2018. For the year, the company reported net cash from operating activities was HKD 288,221,000 against net cash flow used in operating activities of HKD 126,895,000 a year ago. Purchase of property, plant and equipment was HKD 69,443,000 against HKD 84,109,000 a year ago.