(Cont. GP): Net Operating Cash Flow Per share (NOCFPS) of GP has increased by 82% for the nine-month period ended 30 September 2021 compared to that of 30 September 2020. For the nine-month period ended 30 September 2021, net cash generated from operating activities is BDT 45,737,429,000 which was BDT 25,128,738,000 in the comparative period. (cont.2)