UMC Reports Fourth Quarter 2023 Results

Net non-operating income in 4Q23 was NT$2.23 billion, primarily reflecting the NT$1.75 billion in net investment gain and the NT$0.88 billion in net interest income partially offset by the NT$0.41 billion in exchange loss.

Non-Operating Income and Expenses

(Amount: NT$ million)

4Q23

 

3Q23

4Q22

 

Non-Operating Income and Expenses

2,227

 

3,336

889

 

Net Interest Income and Expenses

880

 

617

584

 

Net Investment Gain and Loss

1,750

 

1,885

1,382

 

Exchange Gain and Loss

(405

)

324

(1,057

)

Other Gain and Loss

2

 

510

(20

)

In 4Q23, cash inflow from operating activities was NT$26.22 billion. Cash outflow from investing activities totaled NT$26.81 billion, which included NT$20.81 billion in capital expenditure, resulting in free cash flow of NT$5.41 billion. Cash outflow from financing was NT$3.89 billion, primarily from NT$4.44 billion in bank loans. Net cash outflow in 4Q23 amounted to NT$8.09 billion. Over the next 12 months, the company expects to repay NT$2.23 billion in bank loans.

Cash Flow Summary

(Amount: NT$ million)

For the 3-Month

Period Ended

Dec. 31, 2023

For the 3-Month

Period Ended

Sep. 30, 2023

Cash Flow from Operating Activities

26,217

19,059

Net income before tax

14,650

18,648

Depreciation & Amortization

10,721

9,928

Share of profit of associates and

joint ventures

(1,918)

(1,022)

Income tax paid

(15)

(1,216)

Changes in working capital & others

2,779

(7,279)

Cash Flow from Investing Activities

(26,813)

(17,720)

Increase in financial assets measured

at amortized cost

(6,134)

(141)

Acquisition of PP&E

(20,334)

(17,245)

Acquisition of intangible assets

(774)

(560)

Others

429

226

Cash Flow from Financing Activities

(3,892)

(27,602)

Bank loans

(4,435)

21,369

Bonds issued

-

10,000

Increase in deposits-in

720

7,425

Decrease in other financial liabilities

-

(21,209)

Cash dividends

-

(45,018)

Others

(177)

(169)

Effect of Exchange Rate

(3,600)

3,808

Net Cash Flow

(8,088)

(22,455)

Beginning balance

140,642

163,097

Ending balance

132,554

140,642


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