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Statement Of Cash Flow
(In Millions of New Taiwan Dollars) |
|
2005Year |
2006Year |
2007Year |
Cash Flows From Operating Activities |
126,768 |
66,812 |
90,975 |
Cash Flows From Investing Activities |
(141,209) |
(47,905) |
(26,965) |
Cash Flows From Financing Activities |
(2,715) |
(5,304) |
(3,451) |
Effects of Changes in Exchange Rate on Cash |
0 |
0 |
0 |
Net Increase (Decrease) In Cash And Cash Equivalents |
(17,156) |
13,603 |
60,559 |
Cash And Cash EquivalentsĦA Beginning Of Period |
39,452 |
22,296 |
35,899 |
Cash And Cash EquivalentsĦA End Of Period |
$22,296 |
$35,899 |
$96,458 |
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