Non-Operating Income and Expenses |
|||
(Amount: NT$ million) |
3Q19 |
2Q19 |
3Q18 |
Non-Operating Income and Expenses |
(532) |
(617) |
(1,606) |
Net Interest Income and Expenses |
(503) |
(497) |
(507) |
Net Investment Gain and Loss |
736 |
69 |
(126) |
Exchange Gain and Loss |
(752) |
(182) |
(961) |
Other Gain and Loss |
(13) |
(7) |
(12) |
Net non-operating expense in 3Q19 was NT$532 million, mainly resulting from NT$752 million in exchange loss and NT$503 million in net interest expense, partly offset by NT$736 million in net investment gain.
Cash Flow Summary | ||
(Amount: NT$ million) |
For the 3-Month
Sep. 30, 2019 |
For the 3-Month
Jun. 30, 2019 |
Cash Flow from Operating Activities |
(3,080) |
12,268 |
Net income before tax |
1,977 |
1,144 |
Depreciation & Amortization |
12,050 |
12,185 |
Expected credit losses |
4 |
587 |
Share of profit of associates and joint ventures |
(109) |
(201) |
Income tax paid |
(99) |
(135) |
Changes in working capital & others |
(16,903) |
(1,312) |
Cash Flow from Investing Activities |
(3,968) |
(4,188) |
Acquisition of PP&E |
(3,550) |
(3,904) |
Acquisition of intangible assets |
(732) |
(247) |
Others |
314 |
(37) |
Cash Flow from Financing Activities |
4,137 |
(6,467) |
Bank loans |
11,168 |
(1,197) |
Redemption of bonds |
- |
(2,500) |
Treasury stock acquired |
- |
(2,641) |
Cash dividends |
(6,914) |
- |
Others |
(117) |
(129) |
Effect of Exchange Rate |
(692) |
10 |
Net Cash Flow |
(3,603) |
1,623 |
Beginning balance |
90,356 |
88,738 |
Changes in non-current assets held for sale |
2 |
(5) |
Ending balance |
86,755 |
90,356 |