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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