Cash Flow Summary |
||||||||||||
(Amount: NT$ million) |
For the 3-Month
Period Ended
|
For the 3-Month
|
||||||||||
Cash Flow from Operating Activities | 8,776 | 12,899 | ||||||||||
Net income before tax | 1,857 | 1,749 | ||||||||||
Depreciation & Amortization | 13,288 | 13,227 | ||||||||||
Net gain of financial assets and liabilities at FVTPL |
(377 | ) | (86 | ) | ||||||||
Impairment loss on financial assets |
- | 254 | ||||||||||
Exchange gain on financial assets and liabilities |
(1,356 | ) | (642 | ) | ||||||||
Changes in working capital | (3,231 | ) | (655 | ) | ||||||||
Income tax paid | (632 | ) | (152 | ) | ||||||||
Other | (773 | ) | (796 | ) | ||||||||
Cash Flow from Investing Activities | 666 | (6,034 | ) | |||||||||
Capital expenditures | (5,716 | ) | (10,961 | ) | ||||||||
Proceeds from disposal of AFS financial assets |
- | 313 | ||||||||||
Acquisition of intangible assets |
(248 | ) | (360 | ) | ||||||||
Other | 6,630 | 4,974 | ||||||||||
Cash Flow from Financing Activities | (13,714 | ) | 5,214 | |||||||||
Bank loans | (5,561 | ) | (41 | ) | ||||||||
Bonds Issued | - | 5,400 | ||||||||||
Redemption of bonds | (7,500 | ) | - | |||||||||
Other | (653 | ) | (145 | ) | ||||||||
Effect of Exchange Rate | (260 | ) | (343 | ) | ||||||||
Net Cash Flow | (4,532 | ) | 11,736 | |||||||||