| PERIOD ENDING | 31-Dec-08 | 31-Dec-07 | 31-Dec-06 | | Net Income | 131,538 | (5,188) | (6,397) | | | Operating Activities, Cash Flows Provided By or Used In | | Depreciation | 165,476 | 106,443 | 76,332 | | Adjustments To Net Income | 60,777 | 39,313 | 22,725 | | Changes In Accounts Receivables | (9,152) | (17,997) | (9,666) | | Changes In Liabilities | 37,123 | (9,016) | (4,308) | | Changes In Inventories |
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| | Changes In Other Operating Activities | (118,204) | 6,465 | (3,274) | | | Total Cash Flow From Operating Activities | 267,558 | 120,020 | 75,412 | | | Investing Activities, Cash Flows Provided By or Used In | | Capital Expenditures | (471,128) | (537,341) | (172,057) | | Investments | 5,436 | (18,101) | (3,505) | | Other Cashflows from Investing Activities | (12,348) | (499,283) | 17,092 | | | Total Cash Flows From Investing Activities | (478,040) | (1,054,725) | (158,470) | | | Financing Activities, Cash Flows Provided By or Used In | | Dividends Paid |
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| | Sale Purchase of Stock |
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| 376,264 | 38,836 | | Net Borrowings | 144,527 | 768,749 | 6,579 | | Other Cash Flows from Financing Activities | 579 |
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| 692 | | | Total Cash Flows From Financing Activities | 145,106 | 1,145,013 | 46,107 | | Effect Of Exchange Rate Changes | (5,050) | (2,238) | 247 | | | Change In Cash and Cash Equivalents | ($70,426) | $208,070 | ($36,704) |
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