C

Compal Electronics Inc
TWSE:2324

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Compal Electronics Inc
TWSE:2324
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Price: 32.65 TWD
Market Cap: NT$143.9B

Cash Flow Statement

Cash Flow Statement
Compal Electronics Inc

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Cash Flow Statement
Currency: TWD
Dec-2008 Mar-2009 Jun-2009 Sep-2009 Dec-2009 Mar-2010 Jun-2010 Sep-2010 Dec-2010 Mar-2011 Jun-2011 Sep-2011 Dec-2011 Mar-2012 Jun-2012 Sep-2012 Dec-2012 Mar-2013 Jun-2013 Sep-2013 Dec-2013 Mar-2014 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 Sep-2024 Dec-2024 Mar-2025 Jun-2025 Sep-2025
Operating Cash Flow
Net Income
13 553
12 911
12 814
14 609
19 796
25 482
28 628
27 027
23 317
18 161
14 883
13 243
11 096
10 618
9 768
9 701
7 255
8 262
8 006
3 031
4 360
1 124
1 747
7 705
9 727
13 770
13 455
14 153
11 792
11 516
12 064
11 129
11 813
10 969
9 140
9 274
8 114
8 581
10 417
11 815
11 790
11 977
11 670
9 801
10 008
8 987
9 209
9 914
13 123
15 703
16 306
18 866
17 468
16 825
16 174
13 501
10 724
9 910
10 287
10 909
11 890
12 651
13 723
14 864
15 348
15 803
12 846
11 202
Depreciation & Amortization
4 856
5 385
5 936
5 957
5 790
5 763
5 311
5 507
5 409
5 379
5 527
5 267
5 363
5 252
4 945
5 356
5 648
5 650
5 902
5 717
5 556
5 421
5 505
5 758
6 037
6 070
6 134
6 039
5 925
5 958
5 835
5 569
5 668
5 542
5 560
5 570
5 185
4 956
4 777
4 800
4 941
5 271
5 723
6 030
6 419
6 452
6 251
6 255
6 193
6 336
6 597
6 676
6 903
6 822
6 940
7 288
7 544
7 857
7 822
8 033
7 874
7 867
7 730
7 639
7 868
7 873
7 584
7 243
Change in Deffered Taxes
700
589
0
(307)
(220)
(169)
(522)
(252)
(332)
(33)
108
306
235
0
0
0
216
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Stock-Based Compensation
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
65
112
141
94
45
11
(4)
168
168
245
348
336
432
443
421
394
398
323
269
204
111
0
0
0
0
25
50
75
125
123
119
65
73
14
0
38
33
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Non-Cash Items
3 840
5 648
4 826
3 532
3 228
(1 386)
(3 244)
(3 531)
(5 151)
(1 722)
(410)
494
1 046
1 004
1 770
1 027
1 354
790
1 029
6 094
4 899
9 109
8 411
2 837
3 696
(480)
(481)
(172)
346
124
211
326
217
841
3 198
3 019
2 688
1 689
(688)
(2 919)
(2 637)
(1 938)
(1 671)
870
737
189
(504)
(785)
(1 041)
(1 139)
(1 056)
(2 850)
(3 112)
(3 057)
(2 785)
(555)
378
685
817
755
642
762
677
626
325
2
168
(438)
Cash Taxes Paid
2 756
2 938
2 248
2 781
3 032
3 175
3 352
3 943
4 179
4 402
5 386
4 497
4 461
4 495
1 936
1 781
1 637
1 446
1 991
2 192
1 651
1 703
1 315
965
975
954
1 080
1 126
1 209
1 211
2 603
2 971
3 107
3 086
1 907
1 750
1 405
1 386
1 609
1 413
2 577
2 667
2 166
2 428
1 457
1 381
1 699
1 673
1 672
1 684
1 996
2 192
1 990
2 068
3 027
2 506
2 656
2 539
2 939
2 860
3 029
2 982
2 834
3 827
3 818
3 958
2 585
2 230
Cash Interest Paid
598
479
313
214
92
99
150
229
286
345
392
417
475
503
472
435
278
361
399
404
445
534
682
839
947
996
921
792
939
895
948
1 028
906
950
1 035
1 101
1 243
1 428
1 603
2 008
2 400
2 851
3 018
3 287
3 112
2 689
2 285
1 607
1 215
1 059
998
972
1 034
991
1 156
1 764
2 697
3 761
4 484
5 119
5 183
4 917
4 720
4 413
3 873
3 843
3 636
2 942
Change in Working Capital
(9 279)
(14 811)
(11 655)
(22 611)
(31 938)
(17 526)
(20 361)
(5 154)
(145)
8 535
(6 172)
4 279
16 703
(2 742)
8 761
(6 939)
(25 960)
(20 666)
(20 194)
(9 674)
(14 266)
(14 215)
(3 175)
(3 745)
14 338
9 292
(8 936)
(20 866)
(8 529)
8 027
(9 418)
(15 977)
(16 411)
(28 138)
8 820
7 333
(18 168)
(22 517)
(47 117)
(50 260)
(29 356)
(22 754)
(25 426)
(4 706)
3 757
18 690
4 121
29 897
(4 013)
(21 812)
(4 571)
(56 670)
(45 093)
(41 522)
(13 245)
261
39 992
41 406
6 320
27 625
9 271
7 064
20 756
10 439
1 703
8 283
27 258
32 804
Cash from Operating Activities
13 670
N/A
9 722
-29%
12 621
+30%
1 291
-90%
(3 344)
N/A
12 276
N/A
9 813
-20%
23 598
+140%
23 098
-2%
30 319
+31%
13 935
-54%
23 588
+69%
34 444
+46%
14 017
-59%
25 341
+81%
9 010
-64%
(11 487)
N/A
(5 962)
+48%
(5 256)
+12%
5 169
N/A
550
-89%
1 439
+162%
12 488
+768%
12 555
+1%
33 798
+169%
28 652
-15%
10 173
-64%
(846)
N/A
9 534
N/A
25 626
+169%
8 692
-66%
1 048
-88%
1 288
+23%
(10 786)
N/A
26 720
N/A
25 195
-6%
(2 181)
N/A
(7 291)
-234%
(32 612)
-347%
(36 564)
-12%
(15 263)
+58%
(7 443)
+51%
(9 703)
-30%
11 994
N/A
20 921
+74%
34 317
+64%
19 078
-44%
45 282
+137%
14 261
-69%
(913)
N/A
17 276
N/A
(33 978)
N/A
(23 834)
+30%
(20 934)
+12%
7 084
N/A
20 495
+189%
58 639
+186%
59 857
+2%
25 576
-57%
47 474
+86%
29 677
-37%
28 201
-5%
42 886
+52%
33 567
-22%
25 244
-25%
31 961
+27%
47 856
+50%
50 811
+6%
Investing Cash Flow
Capital Expenditures
(8 410)
(8 203)
(7 721)
(5 439)
(4 649)
(5 647)
(5 374)
(6 463)
(7 792)
(7 022)
(7 986)
(7 679)
(7 108)
(7 138)
(6 627)
(7 095)
(8 415)
(8 963)
(8 729)
(8 362)
(6 159)
(6 046)
(7 016)
(7 115)
(6 963)
(7 192)
(6 106)
(5 803)
(6 109)
(5 683)
(5 340)
(4 902)
(4 176)
(3 981)
(3 987)
(3 753)
(3 765)
(4 009)
(4 396)
(4 929)
(5 730)
(5 923)
(6 223)
(5 700)
(6 631)
(7 088)
(7 052)
(7 787)
(7 677)
(8 700)
(10 714)
(11 935)
(12 698)
(12 293)
(10 042)
(9 594)
(8 386)
(7 644)
(7 908)
(6 887)
(7 543)
(7 912)
(8 897)
(9 851)
(7 931)
(7 453)
(6 742)
(5 503)
Other Items
(2 298)
(2 411)
535
(2 892)
(7 460)
(7 253)
(8 070)
(6 107)
464
111
742
287
(2 349)
(2 815)
(4 298)
(4 569)
(3 605)
(2 008)
(863)
(124)
(3 134)
(921)
(1 270)
(1 453)
1 274
230
1 851
1 709
2 287
989
161
753
994
3 358
3 460
2 961
2 890
542
424
8 080
8 168
8 452
8 577
1 711
2 005
1 696
1 284
264
(235)
(323)
(37)
(152)
1 635
662
36
306
(1 529)
(176)
279
(400)
(1 977)
(2 365)
(3 029)
(1 886)
(5 076)
(5 326)
(4 151)
(9 137)
Cash from Investing Activities
(10 707)
N/A
(10 613)
+1%
(7 185)
+32%
(8 331)
-16%
(12 109)
-45%
(12 900)
-7%
(13 444)
-4%
(12 571)
+6%
(7 328)
+42%
(6 911)
+6%
(7 245)
-5%
(7 391)
-2%
(9 457)
-28%
(9 952)
-5%
(10 924)
-10%
(11 665)
-7%
(12 021)
-3%
(10 971)
+9%
(9 591)
+13%
(8 484)
+12%
(9 293)
-10%
(6 966)
+25%
(8 286)
-19%
(8 568)
-3%
(5 689)
+34%
(6 963)
-22%
(4 256)
+39%
(4 094)
+4%
(3 822)
+7%
(4 694)
-23%
(5 178)
-10%
(4 149)
+20%
(3 182)
+23%
(623)
+80%
(527)
+15%
(792)
-50%
(875)
-10%
(3 467)
-296%
(3 972)
-15%
3 150
N/A
2 439
-23%
2 529
+4%
2 354
-7%
(3 988)
N/A
(4 626)
-16%
(5 393)
-17%
(5 768)
-7%
(7 524)
-30%
(7 912)
-5%
(9 024)
-14%
(10 751)
-19%
(12 087)
-12%
(11 063)
+8%
(11 631)
-5%
(10 006)
+14%
(9 288)
+7%
(9 915)
-7%
(7 820)
+21%
(7 630)
+2%
(7 287)
+4%
(9 520)
-31%
(10 277)
-8%
(11 927)
-16%
(11 737)
+2%
(13 008)
-11%
(12 779)
+2%
(10 894)
+15%
(14 641)
-34%
Financing Cash Flow
Net Issuance of Common Stock
(1 288)
0
0
0
432
624
666
681
420
396
(924)
(914)
(963)
(919)
398
401
283
71
0
(1 120)
(1 110)
(1 106)
(1 094)
445
0
474
462
47
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Net Issuance of Debt
(6 806)
(12 825)
(7 362)
8 620
21 547
30 984
28 361
11 592
13 227
(4 396)
11 309
11 914
(24 520)
(9 072)
(34 241)
(23 801)
22 097
11 864
30 965
32 921
29 371
32 273
21 908
10 972
4 293
(483)
(13 040)
306
(12 956)
(14 705)
10 116
9 228
17 348
22 139
(9 465)
5 965
8 566
17 077
45 078
39 098
16 916
1 426
7 145
(20 399)
(14 010)
(24 462)
(13 680)
827
24 626
38 631
31 181
50 036
30 216
44 260
13 912
(43)
(39 843)
(47 598)
(34 875)
(56 252)
(22 439)
(17 740)
(6 068)
(22 118)
(3 264)
(16 748)
(43 578)
(13 646)
Cash Paid for Dividends
(9 162)
0
0
(5 753)
(5 753)
0
0
(10 148)
(10 148)
0
0
(11 770)
(11 770)
0
0
(6 105)
(6 105)
0
0
(4 334)
(4 334)
0
(4 334)
(4 305)
(4 305)
0
0
(6 568)
(6 568)
0
0
(5 252)
(5 252)
0
0
(5 247)
(5 247)
0
0
0
(5 229)
0
0
(5 229)
(5 229)
0
0
(5 229)
(5 229)
0
(12 200)
(6 971)
(6 971)
0
(8 714)
(8 714)
(8 714)
0
(5 229)
(5 229)
(5 229)
0
(5 229)
(5 229)
(5 229)
0
(6 100)
(6 100)
Other
(2 516)
(1 781)
(603)
(777)
685
(82)
(149)
(418)
(667)
(432)
(549)
(354)
(162)
(253)
(108)
(101)
(92)
131
(978)
(412)
(12 926)
(15 593)
(14 532)
(15 043)
(2 377)
432
477
317
292
(239)
(305)
(208)
(183)
(193)
(153)
(250)
(57)
16
(25)
(57)
(55)
(161)
(144)
(313)
224
237
242
136
(596)
(476)
(1 307)
(785)
(667)
(654)
114
(705)
(855)
(1 060)
(1 009)
(1 087)
518
529
489
393
(1 041)
(1 032)
(2 114)
(1 021)
Cash from Financing Activities
(19 771)
N/A
(25 054)
-27%
(18 416)
+26%
803
N/A
16 912
+2 006%
25 773
+52%
23 127
-10%
1 707
-93%
2 832
+66%
(14 580)
N/A
(311)
+98%
(1 123)
-261%
(37 414)
-3 232%
(22 013)
+41%
(45 722)
-108%
(29 606)
+35%
16 183
N/A
5 960
-63%
23 915
+301%
27 056
+13%
11 001
-59%
11 241
+2%
1 947
-83%
(7 932)
N/A
(1 912)
+76%
(3 883)
-103%
(16 406)
-323%
(5 898)
+64%
(19 233)
-226%
(21 513)
-12%
3 243
N/A
3 768
+16%
11 913
+216%
16 695
+40%
(14 871)
N/A
467
N/A
3 263
+599%
11 846
+263%
39 807
+236%
33 814
-15%
11 633
-66%
(3 964)
N/A
1 773
N/A
(25 941)
N/A
(19 014)
+27%
(29 454)
-55%
(18 666)
+37%
(4 266)
+77%
18 802
N/A
32 927
+75%
17 674
-46%
42 279
+139%
22 578
-47%
36 634
+62%
5 312
-86%
(9 463)
N/A
(49 412)
-422%
(57 373)
-16%
(41 112)
+28%
(62 567)
-52%
(27 149)
+57%
(22 440)
+17%
(10 807)
+52%
(26 954)
-149%
(9 534)
+65%
(23 009)
-141%
(51 792)
-125%
(20 767)
+60%
Change in Cash
Effect of Foreign Exchange Rates
10
598
191
73
(200)
(865)
(282)
(784)
(1 990)
(1 682)
(1 969)
(276)
907
185
641
(988)
(929)
294
33
89
554
630
(80)
524
1 545
380
499
2 388
1 563
1 417
2 181
(1 062)
180
(1 439)
(1 537)
(489)
(3 095)
(1 606)
(196)
32
1 425
2 302
1 082
1 315
(1 018)
(840)
(2 149)
(3 431)
(2 583)
(2 770)
(2 994)
(2 511)
(1 645)
(117)
2 999
6 900
5 192
3 238
2 833
1 680
(193)
2 639
1 892
(1 950)
3 766
2 883
(6 177)
(2 074)
Net Change in Cash
(16 798)
N/A
(25 347)
-51%
(12 789)
+50%
(6 164)
+52%
1 259
N/A
24 284
+1 829%
19 214
-21%
11 950
-38%
16 612
+39%
7 146
-57%
4 410
-38%
14 798
+236%
(11 520)
N/A
(17 763)
-54%
(30 664)
-73%
(33 249)
-8%
(8 254)
+75%
(10 679)
-29%
9 101
N/A
23 830
+162%
2 812
-88%
6 344
+126%
6 069
-4%
(3 421)
N/A
27 742
N/A
18 186
-34%
(9 990)
N/A
(8 450)
+15%
(11 957)
-41%
836
N/A
8 938
+969%
(395)
N/A
10 199
N/A
3 847
-62%
9 785
+154%
24 381
+149%
(2 888)
N/A
(518)
+82%
3 027
N/A
432
-86%
234
-46%
(6 577)
N/A
(4 494)
+32%
(16 620)
-270%
(3 737)
+78%
(1 370)
+63%
(7 505)
-448%
30 062
N/A
22 568
-25%
20 221
-10%
21 205
+5%
(6 296)
N/A
(13 965)
-122%
3 953
N/A
5 389
+36%
8 644
+60%
4 503
-48%
(2 097)
N/A
(20 333)
-869%
(20 701)
-2%
(7 186)
+65%
(1 877)
+74%
22 044
N/A
(7 074)
N/A
6 468
N/A
(944)
N/A
(21 007)
-2 124%
13 328
N/A
Free Cash Flow
Free Cash Flow
5 260
N/A
1 519
-71%
4 900
+223%
(4 148)
N/A
(7 993)
-93%
6 629
N/A
4 439
-33%
17 135
+286%
15 306
-11%
23 297
+52%
5 949
-74%
15 909
+167%
27 336
+72%
6 879
-75%
18 714
+172%
1 915
-90%
(19 902)
N/A
(14 925)
+25%
(13 985)
+6%
(3 193)
+77%
(5 609)
-76%
(4 607)
+18%
5 472
N/A
5 440
-1%
26 835
+393%
21 460
-20%
4 067
-81%
(6 649)
N/A
3 425
N/A
19 943
+482%
3 352
-83%
(3 854)
N/A
(2 888)
+25%
(14 767)
-411%
22 733
N/A
21 442
-6%
(5 946)
N/A
(11 300)
-90%
(37 008)
-228%
(41 493)
-12%
(20 993)
+49%
(13 367)
+36%
(15 927)
-19%
6 295
N/A
14 290
+127%
27 229
+91%
12 026
-56%
37 494
+212%
6 584
-82%
(9 613)
N/A
6 562
N/A
(45 913)
N/A
(36 532)
+20%
(33 226)
+9%
(2 958)
+91%
10 901
N/A
50 252
+361%
52 214
+4%
17 667
-66%
40 587
+130%
22 134
-45%
20 288
-8%
33 988
+68%
23 716
-30%
17 313
-27%
24 508
+42%
41 114
+68%
45 307
+10%
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Intrinsic Value is all-important and is the only logical way to evaluate the relative attractiveness of investments and businesses.

Warren Buffett