12.07.2015 Views

FORM 20-F/A Brookfield Property Partners L.P. - Brookfield Asset ...

FORM 20-F/A Brookfield Property Partners L.P. - Brookfield Asset ...

FORM 20-F/A Brookfield Property Partners L.P. - Brookfield Asset ...

SHOW MORE
SHOW LESS
  • No tags were found...

Create successful ePaper yourself

Turn your PDF publications into a flip-book with our unique Google optimized e-Paper software.

Commercial <strong>Property</strong> Operations of <strong>Brookfield</strong> <strong>Asset</strong> Management Inc.Condensed Carve-out Statements of CashflowUnaudited (US$ Millions) Three months ended Mar. 31, <strong>20</strong>12 <strong>20</strong>11Operating activitiesNet income $ 710 $ 532Share of net earnings from equity accounted investments (442) (195)Fair value gains, net (287) (303)Deferred income taxes 183 45Realized (gains) losses (78) 2Depreciation and amortization 39 6Initial direct leasing costs (4) (1)Working capital and other 90 77211 163Financing activities<strong>Property</strong> debt, issuance 458 430<strong>Property</strong> debt, repayments (957) (745)Other secured debt, issuance 324 36Other secured debt, repayments (119) (67)Capital securities redeemed (153) (21)Non-controlling interests, issued 104 115Non-controlling interests, purchased (2) -Non-controlling interests, distributions (155) (134)Contributions from parent company 169 <strong>20</strong>Distributions to parent company (71) (152)(402) (518)Investing activitiesInvestment properties, proceeds of dispositions 294 406Investment properties, investments - (59)Investment in equity accounted investments (215) (26)Proceeds from sale of investments 99 26Foreign currency hedges of net investments (11) (29)Loans and notes receivables, collected 115 92Loans and notes receivables, advanced (60) -Loan receivable from parent company, collected 108 2Restricted cash and deposits (59) 36Capital expenditures - development and redevelopment (73) (72)Capital expenditures - operating properties (59) (53)139 323Decrease in cash and cash equivalents (52) (32)Cash and cash equivalents, beginning of period 749 399Cash and cash equivalents, end of period $ 697 $ 367See accompanying notes to the condensed carve-out financial statementsF-48

Hooray! Your file is uploaded and ready to be published.

Saved successfully!

Ooh no, something went wrong!