| PERIOD ENDING | 31-Dec-08 | 31-Dec-07 | 31-Dec-06 | | Net Income | 430,845 | 350,133 | 232,795 | | | Operating Activities, Cash Flows Provided By or Used In | | Depreciation | 74,797 | 53,918 | 34,163 | | Adjustments To Net Income | 32,939 | 22,272 | 31,478 | | Changes In Accounts Receivables | (168,395) | (119,882) | (102,334) | | Changes In Liabilities | 100,646 | 87,891 | 92,042 | | Changes In Inventories |
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| | Changes In Other Operating Activities | (41,127) | (50,012) | (35,268) | | | Total Cash Flow From Operating Activities | 429,705 | 344,320 | 252,876 | | | Investing Activities, Cash Flows Provided By or Used In | | Capital Expenditures | (169,410) | (182,467) | (104,734) | | Investments | 135,360 | 51,948 | (152,831) | | Other Cashflows from Investing Activities | (20,956) | (146,820) | (14,773) | | | Total Cash Flows From Investing Activities | (55,006) | (277,339) | (272,338) | | | Financing Activities, Cash Flows Provided By or Used In | | Dividends Paid |
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| | Sale Purchase of Stock | 27,041 | (38,257) | 51,400 | | Net Borrowings |
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| (1,754) | | Other Cash Flows from Financing Activities | 16,993 | 42,265 | 33,249 | | | Total Cash Flows From Financing Activities | 44,034 | 4,008 | 82,895 | | Effect Of Exchange Rate Changes | (23,512) | 2,919 | 5,566 | | | Change In Cash and Cash Equivalents | $395,221 | $73,908 | $68,999 |
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