| PERIOD ENDING | 25-Jul-09 | 26-Jul-08 | 28-Jul-07 | | Net Income | 27,255 | 22,543 | 20,503 | | | Operating Activities, Cash Flows Provided By or Used In | | Depreciation | 15,319 | 13,713 | 12,398 | | Adjustments To Net Income | 3,521 | 3,277 | 1,234 | | Changes In Accounts Receivables | (568) | (478) | (660) | | Changes In Liabilities | 3,797 | 12,071 | 2,618 | | Changes In Inventories | (2,164) | (4,023) | (1,015) | | Changes In Other Operating Activities | 703 | (1,764) | 797 | | | Total Cash Flow From Operating Activities | 47,863 | 45,339 | 35,875 | | | Investing Activities, Cash Flows Provided By or Used In | | Capital Expenditures | (26,625) | (24,898) | (15,692) | | Investments | (1,546) | (1,880) | (29,241) | | Other Cashflows from Investing Activities |
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| (3,500) |
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| | | Total Cash Flows From Investing Activities | (28,171) | (30,278) | (44,933) | | | Financing Activities, Cash Flows Provided By or Used In | | Dividends Paid | (8,471) | (21,093) | (3,711) | | Sale Purchase of Stock | 929 | (1,411) | 266 | | Net Borrowings | (5,618) | 638 | (6,980) | | Other Cash Flows from Financing Activities | 545 | 848 | 618 | | | Total Cash Flows From Financing Activities | (12,615) | (21,018) | (9,807) | | Effect Of Exchange Rate Changes |
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| | | Change In Cash and Cash Equivalents | $7,077 | ($5,957) | ($18,865) |
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