Chuwa Wool Industry Co., (Taiwan) Ltd.

TWSE:1439.TW

34 (TWD) • At close September 19, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) TWD.

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Operating Activities:
Net Income 11.64151.22457.91128.51357.29658.5810.361111.83420.96928.87259.33746.8562.55730.526-238.88627.533-25.875-0.47441.1830.6681,032.486-5.533-26.439-29.395-13.138-2.362-1.655-1.629-1.618-1.95832.4974.124-2.42-3.761-0.1080.1680.150.2613.0132.223-1.255-3.052-0.4410.036-0.6513.081-2.347-0.431-7.8612.2685.8523.453-90.1961.295-17.741.4982,014.269-3.198
Depreciation & Amortization 4.4865.425.4295.4325.465.4155.41615.1820.5330.5320.5320.5320.5340.5360.5360.5290.5240.7021.0011.0010.9090.7311.3761.3251.3821.4821.4941.4961.5041.5071.5091.5551.571.581.5811.5831.5581.5691.5691.5691.5681.5681.5461.4721.3841.3421.3431.3461.3251.3171.3081.3031.3131.3181.3181.3491.3361.278
Deferred Income Tax 0000000000000000000000000000000000000000000000000000000000
Stock Based Compensation 0000000000000000000000000000000000000000000000000000000000
Change In Working Capital -80.8190.59-13.067-52.63286.881-6.096-512.196-109.567-8.311-39.038-77.818-213.5173.786-269.699-234.086-42.6729.326-8.656-74.1499.379228.7591.551-162.537-10.67214.794-0.4679.554-77.77770.611-0.54514.763-51.11260.662-16.4629.662-65.38335.6653.12122.135-67.83336.4662.5930.219-80.39478.004-1.75722.5683.364-35.0913.475877.398-858.99429.434-50.4771.755466.705-2,300.2281,836.001
Accounts Receivables -32.37412.71534.19-17.174-3.433-7.3632.209-1.0350.0162.7660.49836.026.183.946-8.5736.13612.737-13.478-4.02711.276-9.2485.5095.041-16.3253.957-0.9671.051-2.884.0647.539-2.657-8.41315.951-17.6457.681-3.464-0.08416.1291.773-5.412-8.0914.9720.493-13.3150.109-0.078-9.458-4.7660000000000
Change In Inventory -76.343-82.309-63.519-29.965-40.40329.656-485.09-63.5-10.269-39.103-75.307-266.971-8.772-257.355-243.12900000000012.6933.245.369-8.480.1250.6647.4494.836-1.7736.36716.331-29.073-6.65-2.60219.646-21.307-0.7810.73614.765-15.9120.6183.65614.928-5.9960.0514.284-6.8933.434-16.1462.0385.207-15.2562.2455.051
Change In Accounts Payables 8.0477.0648.3540.54-0.612-4.986-3.55-4.3541.069-2.595-0.3292.9240-2.800000000000000000000000000000000000000000000
Other Working Capital 19.85117.5857.908-6.033131.329-23.403-25.765-40.6780.8730.065-2.51153.45412.558-12.34414.816-48.80621.2210.195.853-77.872238.007-3.958-151.628-5.2212.101-3.7074.185-69.29770.486-1.2097.314-55.94862.435-22.82713.331-36.3142.3155.7232.489-46.52637.2471.85415.454-64.48277.386-5.4137.649.36-35.14-0.809884.291-862.42845.58-52.50866.548481.961-2,302.4731,830.95
Other Non Cash Items 86.882.195-78.316-33.06-71.665-56.444-0.526-63.743-33.346-36.127-62.891-54.653-14.364-38.352231.849-19.139-1.610.836-19.429-8.428-1,363.974-5.667-0.476-0.734.171-2.5990.951-2.141-2.512-2.214-42.722-5.893-0.926-1.122-1.736-5.315-2.199-3.635-3.36-5.123-4.878-2.81-5.951-5.043-4.59-6.334-0.494-1.3040.233-0.761-0.0820.7990.3910.062-0.885-0.859-2,038.448-1.317
Operating Cash Flow -87.454-0.857-28.043-51.74777.9721.456-506.945-46.294-20.155-45.761-80.84-220.782-7.487-276.989-240.587-33.7472.365-7.592-51.3942.62-101.82-8.918-188.076-39.4727.209-3.94610.344-80.05167.985-3.216.047-51.32658.886-19.76329.399-68.94735.1741.31623.357-69.16431.901-1.70425.373-83.92974.147-3.66821.072.975-41.39316.299884.476-853.439-59.058-47.79554.448468.693-2,323.0711,832.764
Investing Activities:
Investments In Property Plant And Equipment 0000002310000000000-0.148000-0.622-1.898-0.255000000000000000000-1.822-0.085-1.9600000-8.363-0.134000-1.94500
Acquisitions Net 0-132.30000-2310000000-480.0010-42.87561.4560-359.6-61.3270000000000000000000000000000000000000
Purchases Of Investments -23.081-0.506-8.234-20.055-21.424-7.998-66.132-11.78-8.824-39.144-14.738-168.812-210.425-55.615-7.148-280.099-135.1670.28734.93-503.23600-73.014-999.6210000000000000000000000000000000000
Sales Maturities Of Investments 30.34420.4522.30645.88163.58.7590.12837.378-2.7229.905120.614161.12143.06537.722203.93869.476686.7588.58601,000-999.616999.616000000000000000000000000000000000000
Other Investing Activites 0.016-132.38.23995.0796.295-2.8773.981274.5913.1730.329.43633.0751.30.6150.69321.406-111.4520.6456.2251,001.68578.09480.7421.5960.5918.4053.1232.162.4572.1041.88543.0613.3942.4982.742.4974.7913.219-1.8833.2542.9823.6343.0082.973-81.3111.353.2383.270.001-0.6930.045000000.00300
Investing Cash Flow 7.279-111.0472.311120.90548.371-2.116-62.023300.189-8.371-8.919115.31225.383-66.06-17.278-282.518-189.217532.423150.82641.155138.84978.0941,079.736-73.316-999.03118.4053.1232.162.4572.1041.88543.0613.3942.4982.742.4974.7913.219-1.8833.2542.9823.6343.0081.151-81.3961.353.2383.273.034-0.6930.045-8.363-0.134000-1.94200
Financing Activities:
Debt Repayment -47.437-2.239-69.043-17.266-109.12-4-6.827-43.447-531.402-14.472-105.629-147.887-0.009-197.304-0.008-0.008-0.008-0.251-0.551-0.549-0.547-0.544000000000000000000000000000000000000
Common Stock Issued 000000018.400000000000000000000000000000000000000000000000000
Common Stock Repurchased 0000000-231-700000000000000000000000000000000000000000000000000
Dividends Paid 0000-27.600-18.4-18.400-47.209000-460000000000000-46000-46000-46000-46000-4600-460000000000
Other Financing Activities -0.1521.08-1.37210.53277.518124.546502.66-276.022531.19335.542105.619147.905-0.01197.518156.992-459.912-0.008-0.251-0.592-0.549-2.587-0.724-0.9460-0.181000.056-460-0.040.04-460.154-0.0760.211-46.1210.0900.095-45.2680.26600.653-51.7855.7850.256000-919.9700000-0.73-8.51
Financing Cash Flow 46.6482.686-70.415-6.734-59.202120.546495.833-550.469-0.20921.07105.619147.905-0.01197.518156.992-459.912-0.008-0.251-0.592-0.549-2.587-0.724-0.9460-0.181000.056-460-0.040.04-460.154-0.0760.211-46.1210.0900.095-45.2680.26600.653-51.7855.7850.256-46-460-919.9700000-0.73-8.51
Other Information:
Effect Of Forex Changes On Cash 0000000200.3410000000000-0.097-0.0080.1160.0480.251-0.310000000000000000000000000000000000
Net Change In Cash -28.956-109.218-96.14762.42467.141119.886-73.135-96.233-28.735-33.61140.091-47.494-73.557-96.749-366.113-682.876534.78142.983-10.928140.912-26.1971,070.142-262.087-1,038.81325.433-0.82312.504-77.53824.089-1.32549.067-37.89215.384-16.86931.82-63.945-7.728-0.47726.611-66.087-9.7331.5726.524-164.67223.7125.35521.326-43.025-42.08616.344-43.857-853.573-59.058-47.79554.448466.751-91.6631,824.254
Cash At End Of Period 519.311495.885675.064771.211708.787641.646521.76594.895691.128719.863753.473613.382660.876734.433831.1821,197.2951,880.1711,345.3911,202.4081,213.3361,072.4241,098.62128.479290.5661,329.3791,303.9461,304.7691,292.2651,369.8031,345.7141,347.0391,297.9721,335.8641,320.481,337.3491,305.5291,369.4741,377.2021,377.6791,351.0681,417.1551,426.8881,425.3181,398.7941,563.4661,539.7541,534.3991,513.0731,556.0981,598.1841,581.841,625.6972,479.272,538.3282,586.1232,531.6752,064.9242,156.587