Taiflex Scientific Co., Ltd. (TPE:8039)
Taiwan flag Taiwan · Delayed Price · Currency is TWD
128.00
0.00 (0.00%)
At close: Mar 13, 2026

Taiflex Scientific Cash Flow Statement

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Net Income
535.12592.78422.97700.48734.65
Depreciation & Amortization
546.35508.93437.18410.4375.11
Other Amortization
-20.6522.0321.521.82
Loss (Gain) From Sale of Assets
-0.7633.450.31-0.436.69
Asset Writedown & Restructuring Costs
-1.0226.23---2.88
Loss (Gain) From Sale of Investments
-49.6226.88-6.1531.4810.83
Loss (Gain) on Equity Investments
3.542.1111.161.67.97
Stock-Based Compensation
2.38.0911.03--
Provision & Write-off of Bad Debts
12.1928.432.966.07-4.39
Other Operating Activities
158.4459.586.88276.86-54.59
Change in Accounts Receivable
-570.91-90.74-107.4836.25424.71
Change in Inventory
-267.35-285.2291.76-28.15-636.6
Change in Accounts Payable
133.61289.77290.06-526.93-468.58
Change in Unearned Revenue
6.5-0.320.72-1.1-0.66
Change in Other Net Operating Assets
154.14231.88-91.56274.3-170.44
Operating Cash Flow
707.471,4211,2721,142228.23
Operating Cash Flow Growth
-50.21%11.71%11.40%400.24%-79.86%
Capital Expenditures
-594.8-693.2-1,015-977.07-529.36
Sale of Property, Plant & Equipment
3.615.590.091.152.9
Cash Acquisitions
14.75----
Sale (Purchase) of Intangibles
-1.25-8.06-1.21-4.36-12.1
Investment in Securities
367.43261.7433.13291.28-545.21
Other Investing Activities
0.56-1.99-1.530.711.67
Investing Cash Flow
-209.72-425.92-984.67-688.3-1,072
Short-Term Debt Issued
82.97124.92--640
Long-Term Debt Issued
--7.51-2,191
Total Debt Issued
82.97124.927.51-2,831
Short-Term Debt Repaid
---36.14-535-
Long-Term Debt Repaid
-47.11-66.75-32.38-458.78-22.46
Total Debt Repaid
-47.11-66.75-68.52-993.78-22.46
Net Debt Issued (Repaid)
35.8658.18-61.02-993.782,809
Issuance of Common Stock
27.55----
Common Dividends Paid
-640.69-209.12-522.8-522.8-522.8
Other Financing Activities
58.68-14.2615.744.4419.75
Financing Cash Flow
-518.61-165.2-568.07-1,5122,306
Foreign Exchange Rate Adjustments
9.6694.25-18.0852.7115.13
Net Cash Flow
-11.2923.93-298.97-1,0061,477
Free Cash Flow
112.67727.6256.7164.64-301.13
Free Cash Flow Growth
-84.52%183.45%55.92%--
Free Cash Flow Margin
1.06%7.32%3.15%1.89%-3.20%
Free Cash Flow Per Share
0.432.810.980.63-1.17
Cash Interest Paid
16.2215.9410.211.4713.93
Cash Income Tax Paid
31.18134.7146.6149318.6
Levered Free Cash Flow
-220.09463.43161.83-129.12-405.23
Unlevered Free Cash Flow
-205.97483.02182.11-107.12-392.23
Change in Working Capital
-499.07113.68363.48-306.27-866.97
Updated Dec 31, 2025. Source: S&P Global Market Intelligence. Standard template. Financial Sources.