| PERIOD ENDING | 31-Dec-08 | 31-Dec-07 | 31-Dec-06 | | Net Income | 165,981 | 205,104 | 132,908 | | | Operating Activities, Cash Flows Provided By or Used In | | Depreciation | 61,484 | 58,584 | 52,209 | | Adjustments To Net Income | 7,106 | (11,832) | 3,663 | | Changes In Accounts Receivables | 9,463 | (36,374) | (18,488) | | Changes In Liabilities | (20,570) | 566 | 30 | | Changes In Inventories | 35,058 | (16,231) | (7,449) | | Changes In Other Operating Activities | 19,277 | (18,189) | 4,319 | | | Total Cash Flow From Operating Activities | 277,799 | 181,628 | 167,192 | | | Investing Activities, Cash Flows Provided By or Used In | | Capital Expenditures | (41,047) | (47,783) | (41,115) | | Investments |
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| | Other Cashflows from Investing Activities | (353,358) | 2,150 | (9,524) | | | Total Cash Flows From Investing Activities | (394,405) | (45,633) | (50,639) | | | Financing Activities, Cash Flows Provided By or Used In | | Dividends Paid |
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| | Sale Purchase of Stock | (89,820) | 8,043 | 4,513 | | Net Borrowings | 238,151 | (125,249) | (178,876) | | Other Cash Flows from Financing Activities | 7,265 | 5,361 | 3,515 | | | Total Cash Flows From Financing Activities | 155,596 | (111,845) | (170,848) | | Effect Of Exchange Rate Changes | (11,177) | 6,441 | 5,720 | | | Change In Cash and Cash Equivalents | $27,813 | $30,591 | ($48,575) |
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