Last 303.00 TWD
Change Today +7.00 / 2.36%
Volume 4.4M
2357 On Other Exchanges
Symbol
Exchange
Taiwan
OTC US
OTC US
OTC US
As of 2:37 AM 08/22/14 All times are local (Market data is delayed by at least 15 minutes).

Financial Statements for asustek computer inc (2357)

View Cash Flow In U.S. Dollar
Currency in
Millions of Taiwan Dollars
As of:Dec 31
2010
Restated
TWD
Dec 31
2011
Restated
TWD
Dec 31
2012
Restated
TWD
Dec 31
2013
TWD
4 Year
Trend
NET INCOME16,488.416,578.222,463.621,449.9
Depreciation & Amortization4,447.41,867.52,049.52,579.0
Amortization of Goodwill and Intangible Assets1,150.0289.987.592.8
DEPRECIATION & AMORTIZATION, TOTAL5,597.52,157.32,137.02,671.8
Amortization of Deferred Charges----226.3307.9
(Gain) Loss on Sale of Investment-386.2-274.91,806.1-1,325.5
Asset Writedown & Restructuring Costs85.2480.063.3200.6
Other Operating Activities5,559.31,427.52,307.6937.6
Change in Trading Asset Securities4,315.9-891.04,019.2966.2
(Income) Loss on Equity Investments-1,110.2-24.8-1,534.0-572.0
Provision & Write-off of Bad Debts----511.5-192.2
Change in Accounts Receivable-9,043.1-7,696.8-17,005.1-8,218.6
Change in Inventories148.6-11,800.5-22,123.92,999.2
Change in Accounts Payable2,328.83,046.211,818.11,945.8
Change in Income Taxes-442.7422.6----
Change in Deferred Taxes-234.5-77.1----
Change in Other Working Capital2,235.015,130.317,048.88,711.3
CASH FROM OPERATIONS25,541.918,477.021,738.429,882.1
Capital Expenditure-1,628.2-2,525.1-2,129.3-2,328.0
Sale of Property, Plant, and Equipment317.1222.617.5109.0
Cash Acquisitions---5,000.1394.8--
Divestitures--747.4-34.0-3.7
Sale (Purchase) of Real Estate Properties-----72.8--
Sale (Purchase) of Intangible Assets-130.3-199.9-127.1-217.4
Investments in Marketable & Equity Securities1,903.564.754.04,827.3
CASH FROM INVESTING651.0-6,730.6-2,409.82,309.8
Short-Term Debt Issued2,286.3--766.11,068.5
Long-Term Debt Issued850.1288.486.0928.5
TOTAL DEBT ISSUED3,136.4288.4852.11,997.0
Short Term Debt Repaid---1,039.5----
Long Term Debt Repaid-2,475.1-2,759.4-75.3-1,324.8
TOTAL DEBT REPAID-2,475.1-3,798.9-75.3-1,324.8
Repurchase of Common Stock-2,321.2-2,609.4---2,526.0
Common Dividends Paid-8,918.2-8,638.2-10,915.0-14,302.4
TOTAL DIVIDEND PAID-8,918.2-8,638.2-10,915.0-14,302.4
Other Financing Activities8.51,513.1392.5-53.1
CASH FROM FINANCING-10,569.7-13,245.0-9,745.7-16,209.3
Foreign Exchange Rate Adjustments-1,053.2641.8-1,171.0932.7
Miscellaneous Cash Flow Adjustments-39,076.7307.4----
NET CHANGE IN CASH-24,506.7-549.48,411.816,915.3
 

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2357:TT 303.00 TWD +7.00

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2357

Industry Average

Valuation 2357 Industry Range
Price/Earnings 11.4x
Price/Sales 0.5x
Price/Book 1.6x
Price/Cash Flow 11.3x
TEV/Sales 0.3x
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