| PERIOD ENDING | 31-Dec-08 | 31-Dec-07 | 31-Dec-06 | | Net Income | 500,912 | 192,668 | 154,264 | | | Operating Activities, Cash Flows Provided By or Used In | | Depreciation | 113,488 | 100,790 | 93,430 | | Adjustments To Net Income | 243,076 | 133,386 | 94,853 | | Changes In Accounts Receivables | (184,713) | (25,830) | (240) | | Changes In Liabilities | (24,451) | (39,445) | (74,022) | | Changes In Inventories | (193,469) | (34,983) | (46,730) | | Changes In Other Operating Activities | 1,976 | (2,645) | 12,632 | | | Total Cash Flow From Operating Activities | 457,314 | 311,294 | 221,200 | | | Investing Activities, Cash Flows Provided By or Used In | | Capital Expenditures | (275,893) | (165,640) | (175,788) | | Investments |
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| 399 | (88,885) | | Other Cashflows from Investing Activities | (2,914) | (8,925) | 5,127 | | | Total Cash Flows From Investing Activities | (278,807) | (174,166) | (259,546) | | | Financing Activities, Cash Flows Provided By or Used In | | Dividends Paid | (212,831) | (94,910) | (74,566) | | Sale Purchase of Stock |
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| | Net Borrowings | 174,427 | (62,220) | 146,179 | | Other Cash Flows from Financing Activities |
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| | | Total Cash Flows From Financing Activities | (38,404) | (157,130) | 71,613 | | Effect Of Exchange Rate Changes | (516) | 271 | 2,720 | | | Change In Cash and Cash Equivalents | $139,587 | ($19,731) | $35,987 |
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