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Directory Results for TRC SYNERGY BERHAD Condensed Consolidated Cash Flow Statement for the period ended 30 June 2004 6 months ended 30/6/2004 6 months ended 30/6/2003 RM RM 1,177,954 4,249,413 Adjustments for : Depreciation of property, plant &amp to TRC SYNERGY BERHAD Condensed Consolidated Cash Flow Statement for the year ended 31 December 2003 12 months ended 31/12/2003 12 months ended 31/12/2002 RM RM Cash flows from operating activities Profit before tax 13,069,887 25,733,150