b'FOR THE YEAR ENDED DECEMBER 31, 2020(X US$ 1,000) Notes 2020 2019Financing activitiesMovement of Bonds (2,515)- Issue of New Local Bond195,067 - Repayment of Local Bond (Exchange with new bonds)(80,531)- Repayment of Local Bond (Paid back)(16,550)- Repayment of Term loans 5.3(62,500)(25,000)RefinancingofTermloans 5.3(2,200)- Proceeds Revolver loan 5.36,000 - Proceeds from Pension fund loan 5.3- 26,508 Dividends settled/paid to equity holders of the parent 3.5 (45,136) (48,452)Addition to the Sports Fund- 2,000 Payments from the Sports fund- (2,175)Movements in Other long term liabilities5.3(1,687)- Payment of principal portion of lease liabilities (3,216)(2,799)Movement in restricted cash(18,265) (7,547)Net cash flows used in financing activities (31,533)(57,465)Decrease in cash and cash equivalents(5,834)(18,265)Cash and cash equivalents, beginning of year* 6.121,095 39,360 Cash and cash equivalents, end of year* 6.115,261 21,095 51'