Thinking Electronic Industrial Co Ltd
TWSE:2428

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Thinking Electronic Industrial Co Ltd Logo
Thinking Electronic Industrial Co Ltd
TWSE:2428
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Price: 164 TWD Market Closed
Market Cap: 21B TWD
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Cash Flow Statement

Cash Flow Statement
Thinking Electronic Industrial Co Ltd

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Cash Flow Statement
Currency: TWD
Jun-2014 Sep-2014 Dec-2014 Mar-2015 Jun-2015 Sep-2015 Dec-2015 Mar-2016 Jun-2016 Sep-2016 Dec-2016 Mar-2017 Jun-2017 Sep-2017 Dec-2017 Mar-2018 Jun-2018 Sep-2018 Dec-2018 Mar-2019 Jun-2019 Sep-2019 Dec-2019 Mar-2020 Jun-2020 Sep-2020 Dec-2020 Mar-2021 Jun-2021 Sep-2021 Dec-2021 Mar-2022 Jun-2022 Sep-2022 Dec-2022 Mar-2023 Jun-2023 Sep-2023 Dec-2023 Mar-2024 Jun-2024
Operating Cash Flow
Net Income
791
854
834
812
865
973
981
980
1 087
1 114
1 219
1 325
1 577
1 501
1 487
1 442
1 347
1 526
1 509
1 611
1 489
1 440
1 514
1 443
1 552
1 714
1 867
2 152
2 283
2 245
2 159
2 129
2 074
2 041
1 797
1 683
1 540
1 465
1 723
1 752
1 950
Depreciation & Amortization
153
149
150
151
152
157
160
161
162
161
171
173
192
198
190
203
200
216
227
236
251
260
273
279
280
277
284
292
300
313
322
334
352
370
381
391
393
392
391
386
389
Other Non-Cash Items
(25)
(49)
(3)
(10)
(27)
(3)
(24)
(6)
(3)
(7)
62
78
(128)
(75)
(40)
1
279
277
256
212
188
113
23
(3)
10
60
131
118
73
49
10
53
105
125
226
188
135
118
(48)
(46)
(123)
Cash Taxes Paid
143
135
134
132
158
163
170
184
227
251
251
254
225
236
275
281
376
423
411
397
295
245
234
237
216
271
301
337
379
381
363
339
368
338
352
332
313
368
328
346
231
Cash Interest Paid
4
3
3
2
4
4
3
3
1
1
2
2
3
3
3
3
3
2
4
5
5
7
5
5
6
6
9
10
10
9
9
9
9
11
12
14
15
14
12
10
10
Change in Working Capital
(232)
(216)
(366)
(303)
(352)
(445)
(57)
(46)
(191)
(34)
(467)
(511)
(464)
(540)
(537)
(718)
(828)
(927)
(647)
(440)
(225)
(35)
(164)
(59)
(352)
(629)
(939)
(1 397)
(1 316)
(1 226)
(917)
(1 009)
(902)
(775)
(536)
(176)
41
53
63
(41)
(221)
Cash from Operating Activities
687
N/A
739
+8%
614
-17%
650
+6%
639
-2%
682
+7%
1 060
+55%
1 089
+3%
1 054
-3%
1 235
+17%
985
-20%
1 066
+8%
1 177
+10%
1 084
-8%
1 100
+2%
928
-16%
997
+7%
1 092
+9%
1 344
+23%
1 619
+20%
1 703
+5%
1 778
+4%
1 647
-7%
1 660
+1%
1 489
-10%
1 423
-4%
1 343
-6%
1 164
-13%
1 339
+15%
1 381
+3%
1 574
+14%
1 507
-4%
1 629
+8%
1 760
+8%
1 868
+6%
2 087
+12%
2 109
+1%
2 028
-4%
2 129
+5%
2 052
-4%
1 994
-3%
Investing Cash Flow
Capital Expenditures
(285)
(230)
(131)
(133)
(140)
(212)
(282)
(372)
(445)
(497)
(527)
(526)
(517)
(500)
(479)
(402)
(476)
(466)
(490)
(521)
(405)
(357)
(294)
(257)
(263)
(334)
(371)
(469)
(655)
(732)
(866)
(1 017)
(999)
(982)
(974)
(969)
(1 029)
(997)
(878)
(689)
(549)
Other Items
(76)
(176)
49
(119)
(356)
(143)
(255)
(250)
140
(332)
8
215
301
651
598
532
233
(223)
(492)
(724)
(761)
(657)
(711)
(674)
(436)
(662)
(479)
(850)
(807)
(456)
(456)
773
627
602
581
205
501
38
(821)
(1 075)
(1 856)
Cash from Investing Activities
(361)
N/A
(406)
-13%
(82)
+80%
(251)
-206%
(496)
-97%
(355)
+28%
(538)
-51%
(622)
-16%
(305)
+51%
(828)
-172%
(520)
+37%
(311)
+40%
(216)
+31%
151
N/A
119
-21%
129
+9%
(243)
N/A
(688)
-183%
(982)
-43%
(1 245)
-27%
(1 166)
+6%
(1 014)
+13%
(1 005)
+1%
(931)
+7%
(699)
+25%
(996)
-42%
(850)
+15%
(1 319)
-55%
(1 462)
-11%
(1 187)
+19%
(1 322)
-11%
(244)
+82%
(373)
-53%
(380)
-2%
(393)
-4%
(764)
-94%
(529)
+31%
(958)
-81%
(1 699)
-77%
(1 765)
-4%
(2 404)
-36%
Financing Cash Flow
Net Issuance of Debt
(247)
136
74
(59)
141
(31)
(224)
(256)
10
(4)
145
118
0
137
(130)
(90)
(60)
(260)
0
(31)
(57)
(88)
(95)
(42)
(32)
694
733
742
984
1 116
565
209
254
(12)
261
(20)
(288)
(707)
(644)
58
140
Cash Paid for Dividends
0
(254)
(254)
0
0
(267)
(267)
0
0
0
(337)
(433)
(433)
(856)
(519)
0
0
0
(512)
0
0
(487)
(487)
0
0
(538)
(538)
0
0
(705)
(705)
0
0
(807)
(807)
0
0
(692)
(692)
0
0
Other
11
9
3
11
12
15
4
(3)
(11)
(12)
(1)
(5)
(4)
(4)
(4)
0
0
3
(1)
(2)
(2)
(4)
(1)
(1)
(1)
(1)
(1)
(0)
(0)
(29)
(29)
(29)
(29)
1
0
1
1
1
0
0
0
Cash from Financing Activities
(477)
N/A
(109)
+77%
(177)
-62%
(302)
-71%
(102)
+66%
(283)
-179%
(487)
-72%
(526)
-8%
(268)
+49%
(16)
+94%
(193)
-1 122%
(320)
-66%
(438)
-37%
(723)
-65%
(653)
+10%
(513)
+21%
(483)
+6%
(770)
-59%
(514)
+33%
(545)
-6%
(571)
-5%
(579)
-1%
(582)
-1%
(530)
+9%
(520)
+2%
154
N/A
193
+25%
203
+5%
446
+119%
382
-14%
(169)
N/A
(525)
-211%
(479)
+9%
(818)
-71%
(546)
+33%
(826)
-51%
(1 095)
-32%
(1 399)
-28%
(1 335)
+5%
(634)
+52%
(552)
+13%
Change in Cash
Effect of Foreign Exchange Rates
(7)
36
106
50
75
125
(59)
(49)
(119)
(293)
(248)
(361)
(221)
(62)
(19)
137
87
(81)
(49)
(5)
(59)
(27)
(118)
(183)
(211)
(70)
44
37
96
15
(10)
143
97
185
66
(62)
(96)
37
(68)
98
259
Net Change in Cash
(157)
N/A
260
N/A
462
+78%
147
-68%
116
-21%
168
+45%
(24)
N/A
(108)
-355%
362
N/A
97
-73%
24
-75%
73
+201%
303
+315%
450
+49%
547
+22%
681
+24%
358
-47%
(447)
N/A
(201)
+55%
(176)
+12%
(93)
+47%
158
N/A
(58)
N/A
15
N/A
58
+276%
512
+780%
731
+43%
85
-88%
419
+392%
590
+41%
74
-88%
881
+1 097%
874
-1%
747
-14%
994
+33%
434
-56%
390
-10%
(292)
N/A
(974)
-233%
(249)
+74%
(703)
-183%
Free Cash Flow
Free Cash Flow
402
N/A
509
+27%
483
-5%
517
+7%
499
-4%
470
-6%
778
+65%
717
-8%
609
-15%
738
+21%
458
-38%
540
+18%
660
+22%
584
-12%
621
+6%
526
-15%
521
-1%
626
+20%
854
+36%
1 098
+29%
1 298
+18%
1 421
+9%
1 353
-5%
1 403
+4%
1 226
-13%
1 089
-11%
972
-11%
695
-29%
685
-1%
649
-5%
709
+9%
490
-31%
630
+29%
778
+24%
894
+15%
1 117
+25%
1 080
-3%
1 031
-4%
1 251
+21%
1 362
+9%
1 446
+6%

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