UMC Reports Second Quarter 2022 Results

Net non-operating expense in 2Q22 was NT$2.59 billion, primarily reflecting NT$3.68 billion in net investment loss, offset by a NT$1.36 billion in exchange gain.

Non-Operating Income and Expenses

(Amount: NT$ million)

2Q22

 

1Q22

 

2Q21

 

Non-Operating Income and Expenses

(2,586

)

1,314

 

1,881

 

Net Interest Income and Expenses

(163

)

(323

)

(310

)

Net Investment Gain and Loss

(3,675

)

576

 

2,276

 

Exchange Gain and Loss

1,361

 

926

 

(84

)

Other Gain and Loss

(109

)

135

 

(1

)

In 2Q22, cash inflow from operating activities was NT$35.09 billion. Cash outflow from investing activities amounted to NT$11.72 billion, which included NT$11.63 billion in capital expenditure, resulting in free cash flow of NT$23.46 billion. Cash outflow from financing reached NT$13.42 billion, primarily from NT$11.62 billion repayment in bank loans and NT$2.48 billion in redemption of bonds. Net cash inflow in 2Q22 totaled NT$11.55 billion. Over the next 12 months, the company expects to repay NT$ 4.18 billion in bank loans.

Cash Flow Summary

(Amount: NT$ million)

For the 3-Month Period Ended

Jun. 30, 2022

For the 3-Month Period Ended

Mar. 31, 2022

Cash Flow from Operating Activities

35,091

 

30,118

 

Net income before tax

25,578

 

23,648

 

Depreciation & Amortization

11,107

 

11,390

 

Share of loss of associates and

joint ventures

2,027

 

1,858

 

Income tax paid

(2,913

)

(769

)

Changes in working capital & others

(708

)

(6,009

)

Cash Flow from Investing Activities

(11,716

)

14,752

 

Decrease in financial assets measured

at amortized cost

103

 

26,315

 

Acquisition of PP&E

(10,907

)

(10,803

)

Acquisition of intangible assets

(815

)

(421

)

Others

(97

)

(339

)

Cash Flow from Financing Activities

(13,423

)

(7,959

)

Bank loans

(11,615

)

(612

)

Redemption of bonds

(2,484

)

(7,249

)

Others

676

 

(98

)

Effect of Exchange Rate

1,601

 

2,637

 

Net Cash Flow

11,553

 

39,548

 

Beginning balance

172,170

 

132,622

 

Ending balance

183,723

 

172,170

 


« Previous Page 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9 | 10  Next Page »



© 2024 Internet Business Systems, Inc.
670 Aberdeen Way, Milpitas, CA 95035
+1 (408) 882-6554 — Contact Us
ShareCG™ is a trademark of Internet Business Systems, Inc.

Report a Bug Report Abuse Make a Suggestion About Privacy Policy Contact Us User Agreement Advertise