US Stock MarketDetailed Quotes

CHT Chunghwa Telecom

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  • 39.300
  • -0.370-0.93%
Close Oct 1 16:00 ET
  • 39.300
  • 0.0000.00%
Post 16:01 ET
30.49BMarket Cap26.57P/E (TTM)

Chunghwa Telecom Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-12.50%15.1B
26.08%14.13B
-1.83%74.56B
-14.19%24.67B
8.24%21.42B
10.71%17.26B
-5.17%11.21B
1.46%75.95B
6.96%28.75B
-2.42%19.79B
Net income from continuing operations
-2.47%12.35B
-2.22%11.99B
-0.42%47.01B
-3.42%10.45B
-4.66%11.64B
1.25%12.66B
5.02%12.26B
2.47%47.2B
-3.22%10.82B
0.87%12.21B
Operating gains losses
15.44%-240.45M
82.44%-18.1M
26.68%-426M
393.95%82.05M
-37.35%-120.64M
20.09%-284.34M
5.83%-103.06M
-0.87%-581M
89.32%-27.91M
56.81%-87.83M
Depreciation and amortization
-0.43%9.89B
0.28%9.91B
0.57%39.66B
0.48%9.93B
-0.03%9.91B
-0.14%9.93B
2.02%9.88B
2.68%39.43B
1.60%9.88B
2.98%9.92B
Other non cash items
-14.52%83M
-12.14%158.65M
-55.18%497M
-70.56%74.8M
-51.69%144.52M
-56.69%97.1M
-45.54%180.57M
37.76%1.11B
4.75%254.07M
51.39%299.16M
Change In working capital
-376.27%-2.63B
28.28%-7.95B
-28.82%-3.67B
-2.12%7.79B
-89.18%187.27M
78.43%-552.95M
-11.23%-11.09B
-43.60%-2.85B
46.45%7.95B
-40.59%1.73B
-Change in receivables
-0.41%-1.71B
-50.75%1.64B
14.54%-1.58B
44.95%-1.58B
-3,151.87%-1.63B
-7.32%-1.7B
25.29%3.34B
-24.50%-1.85B
0.35%-2.88B
-110.42%-50.21M
-Change in inventory
-97.51%31.54M
153.54%381.75M
-673.91%-178M
-21.71%828.68M
-22.55%-1.56B
-10.67%1.27B
41.83%-712.96M
-102.63%-23M
-35.03%1.06B
20.98%-1.27B
-Change in prepaid assets
-937.04%-376.62M
0.80%-3.03B
-15,850.00%-315M
-0.18%2.9B
-316.74%-208.03M
267.37%44.99M
-2.68%-3.05B
-99.49%2M
2.26%2.91B
-80.36%95.98M
-Change in payables and accrued expense
-259.03%-438.84M
30.66%-6.42B
-131.48%-1.63B
-25.10%4.62B
3.43%2.73B
122.85%275.95M
-11.42%-9.25B
-128.52%-702M
8.33%6.17B
-9.41%2.64B
-Change in other current assets
-526.06%-792.38M
66.37%-265.23M
213.36%840M
187.53%2.16B
-234.15%-720.44M
118.65%185.98M
-181.21%-788.57M
27.07%-741M
449.57%752.27M
-121.84%-215.6M
-Change in other current liabilities
95.53%-3.21M
98.48%-506K
-123.33%-14M
-292.42%-41.63M
478.27%132.69M
-292.15%-71.85M
-192.12%-33.21M
600.00%60M
-72.61%21.63M
-41.79%-35.08M
-Change in other working capital
217.76%652.28M
54.19%-267.57M
-296.79%-797M
-1,359.02%-1.1B
154.80%1.44B
-175.14%-553.88M
-605.36%-584.05M
112.66%405M
96.34%-75.52M
273.98%566.26M
Cash from discontinued investing activities
Operating cash flow
-12.50%15.1B
26.08%14.13B
-1.83%74.56B
-14.19%24.67B
8.24%21.42B
10.71%17.26B
-5.17%11.21B
1.46%75.95B
6.96%28.75B
-2.42%19.79B
Investing cash flow
Cash flow from continuing investing activities
-80.07%-9.56B
38.43%-12.99B
-62.96%-50.17B
-109.52%-22.58B
77.98%-1.19B
29.32%-5.31B
-197.77%-21.09B
1.23%-30.79B
12.27%-10.78B
-201.97%-5.42B
Net PPE purchase and sale
18.00%-5.2B
6.96%-5.04B
2.53%-30.72B
-4.91%-11.86B
15.83%-7.1B
3.16%-6.35B
-3.62%-5.41B
10.73%-31.52B
8.05%-11.31B
-4.99%-8.43B
Net intangibles purchase and sale
-185.93%-62.18M
12.67%-40.27M
87.48%-237M
-47.17%-121.92M
97.28%-47.21M
62.44%-21.75M
-163.95%-46.12M
-639.45%-1.89B
35.21%-82.84M
-2,811.70%-1.73B
Net business purchase and sale
----
----
-639.93%-1.56B
-4,731.89%-1.56B
--0
----
----
189.72%288M
-3,218,300.00%-32.18M
--0
Net investment purchase and sale
-336.54%-4.29B
51.69%-7.7B
-1,365.97%-17.08B
-3,616.90%-9.17B
151.75%6.22B
350.62%1.81B
-793.31%-15.94B
-63.11%1.35B
264.67%260.65M
-81.13%2.47B
Net other investing changes
85.69%-128.28M
-339.69%-506.65M
-765.11%-1.56B
-756.46%-195.44M
-135.04%-682.6M
46.73%-896.34M
453.09%211.37M
-30.47%235M
483.25%29.77M
5,916.36%1.95B
Cash from discontinued investing activities
Investing cash flow
-80.07%-9.56B
38.43%-12.99B
-62.96%-50.17B
-109.52%-22.58B
77.98%-1.19B
29.32%-5.31B
-197.77%-21.09B
1.23%-30.79B
12.27%-10.78B
-201.97%-5.42B
Financing cash flow
Cash flow from continuing financing activities
-28.13%-1.16B
-4.39%-1.65B
-17.04%-40.73B
61.87%-246.54M
-6.12%-37.99B
-184.75%-906.96M
-180.40%-1.58B
-1.42%-34.8B
-140.14%-646.62M
-4.82%-35.8B
Net issuance payments of debt
-44.92%-986.53M
20.11%-1.18B
-1,158.16%-4.02B
-80.63%-1.18B
24.47%-687.77M
-36.75%-680.76M
-160.23%-1.47B
110.18%380M
27.00%-654.04M
1.91%-910.56M
Cash dividends paid
----
----
-2.04%-36.48B
-254.78%-486K
----
----
----
-7.01%-35.75B
172.18%314K
-7.01%-35.75B
Net other financing activities
22.37%-175.59M
-329.51%-476.21M
-141.17%-233M
13,066.12%935.32M
-197.31%-831.25M
-226.07%-226.2M
76.64%-110.87M
-79.94%566M
-99.72%7.1M
387.67%854.19M
Cash from discontinued financing activities
Financing cash flow
-28.13%-1.16B
-4.39%-1.65B
-17.04%-40.73B
61.87%-246.54M
-6.12%-37.99B
-184.75%-906.96M
-180.40%-1.58B
-1.42%-34.8B
-140.14%-646.62M
-4.82%-35.8B
Net cash flow
Beginning cash position
-13.91%33.33B
-32.61%33.82B
26.18%50.19B
-2.71%32.01B
-8.31%49.75B
-16.74%38.72B
26.18%50.19B
30.77%39.78B
39.53%32.9B
68.84%54.26B
Current changes in cash
-60.33%4.38B
95.55%-510.38M
-257.74%-16.35B
-89.35%1.85B
17.10%-17.76B
42.31%11.04B
-271.20%-11.47B
10.56%10.36B
6.91%17.33B
-150.31%-21.43B
Effect of exchange rate changes
122.45%1.05M
385.57%16.97M
-146.15%-24M
18.02%-27.55M
-77.02%14.18M
-328.41%-4.69M
-127.17%-5.94M
500.00%52M
-423.30%-33.6M
3,333.02%61.69M
End cash Position
-24.20%37.71B
-13.91%33.33B
-32.61%33.82B
-32.61%33.82B
-2.71%32.01B
-8.31%49.75B
-16.74%38.72B
26.18%50.19B
26.18%50.19B
39.53%32.9B
Free cash flow
-9.64%9.83B
57.54%9.05B
2.49%43.58B
-26.89%12.69B
48.31%14.27B
21.23%10.88B
-12.63%5.74B
8.29%42.52B
20.08%17.35B
-21.05%9.62B
Currency Unit
TWD
TWD
TWD
TWD
TWD
TWD
TWD
TWD
TWD
TWD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -12.50%15.1B26.08%14.13B-1.83%74.56B-14.19%24.67B8.24%21.42B10.71%17.26B-5.17%11.21B1.46%75.95B6.96%28.75B-2.42%19.79B
Net income from continuing operations -2.47%12.35B-2.22%11.99B-0.42%47.01B-3.42%10.45B-4.66%11.64B1.25%12.66B5.02%12.26B2.47%47.2B-3.22%10.82B0.87%12.21B
Operating gains losses 15.44%-240.45M82.44%-18.1M26.68%-426M393.95%82.05M-37.35%-120.64M20.09%-284.34M5.83%-103.06M-0.87%-581M89.32%-27.91M56.81%-87.83M
Depreciation and amortization -0.43%9.89B0.28%9.91B0.57%39.66B0.48%9.93B-0.03%9.91B-0.14%9.93B2.02%9.88B2.68%39.43B1.60%9.88B2.98%9.92B
Other non cash items -14.52%83M-12.14%158.65M-55.18%497M-70.56%74.8M-51.69%144.52M-56.69%97.1M-45.54%180.57M37.76%1.11B4.75%254.07M51.39%299.16M
Change In working capital -376.27%-2.63B28.28%-7.95B-28.82%-3.67B-2.12%7.79B-89.18%187.27M78.43%-552.95M-11.23%-11.09B-43.60%-2.85B46.45%7.95B-40.59%1.73B
-Change in receivables -0.41%-1.71B-50.75%1.64B14.54%-1.58B44.95%-1.58B-3,151.87%-1.63B-7.32%-1.7B25.29%3.34B-24.50%-1.85B0.35%-2.88B-110.42%-50.21M
-Change in inventory -97.51%31.54M153.54%381.75M-673.91%-178M-21.71%828.68M-22.55%-1.56B-10.67%1.27B41.83%-712.96M-102.63%-23M-35.03%1.06B20.98%-1.27B
-Change in prepaid assets -937.04%-376.62M0.80%-3.03B-15,850.00%-315M-0.18%2.9B-316.74%-208.03M267.37%44.99M-2.68%-3.05B-99.49%2M2.26%2.91B-80.36%95.98M
-Change in payables and accrued expense -259.03%-438.84M30.66%-6.42B-131.48%-1.63B-25.10%4.62B3.43%2.73B122.85%275.95M-11.42%-9.25B-128.52%-702M8.33%6.17B-9.41%2.64B
-Change in other current assets -526.06%-792.38M66.37%-265.23M213.36%840M187.53%2.16B-234.15%-720.44M118.65%185.98M-181.21%-788.57M27.07%-741M449.57%752.27M-121.84%-215.6M
-Change in other current liabilities 95.53%-3.21M98.48%-506K-123.33%-14M-292.42%-41.63M478.27%132.69M-292.15%-71.85M-192.12%-33.21M600.00%60M-72.61%21.63M-41.79%-35.08M
-Change in other working capital 217.76%652.28M54.19%-267.57M-296.79%-797M-1,359.02%-1.1B154.80%1.44B-175.14%-553.88M-605.36%-584.05M112.66%405M96.34%-75.52M273.98%566.26M
Cash from discontinued investing activities
Operating cash flow -12.50%15.1B26.08%14.13B-1.83%74.56B-14.19%24.67B8.24%21.42B10.71%17.26B-5.17%11.21B1.46%75.95B6.96%28.75B-2.42%19.79B
Investing cash flow
Cash flow from continuing investing activities -80.07%-9.56B38.43%-12.99B-62.96%-50.17B-109.52%-22.58B77.98%-1.19B29.32%-5.31B-197.77%-21.09B1.23%-30.79B12.27%-10.78B-201.97%-5.42B
Net PPE purchase and sale 18.00%-5.2B6.96%-5.04B2.53%-30.72B-4.91%-11.86B15.83%-7.1B3.16%-6.35B-3.62%-5.41B10.73%-31.52B8.05%-11.31B-4.99%-8.43B
Net intangibles purchase and sale -185.93%-62.18M12.67%-40.27M87.48%-237M-47.17%-121.92M97.28%-47.21M62.44%-21.75M-163.95%-46.12M-639.45%-1.89B35.21%-82.84M-2,811.70%-1.73B
Net business purchase and sale ---------639.93%-1.56B-4,731.89%-1.56B--0--------189.72%288M-3,218,300.00%-32.18M--0
Net investment purchase and sale -336.54%-4.29B51.69%-7.7B-1,365.97%-17.08B-3,616.90%-9.17B151.75%6.22B350.62%1.81B-793.31%-15.94B-63.11%1.35B264.67%260.65M-81.13%2.47B
Net other investing changes 85.69%-128.28M-339.69%-506.65M-765.11%-1.56B-756.46%-195.44M-135.04%-682.6M46.73%-896.34M453.09%211.37M-30.47%235M483.25%29.77M5,916.36%1.95B
Cash from discontinued investing activities
Investing cash flow -80.07%-9.56B38.43%-12.99B-62.96%-50.17B-109.52%-22.58B77.98%-1.19B29.32%-5.31B-197.77%-21.09B1.23%-30.79B12.27%-10.78B-201.97%-5.42B
Financing cash flow
Cash flow from continuing financing activities -28.13%-1.16B-4.39%-1.65B-17.04%-40.73B61.87%-246.54M-6.12%-37.99B-184.75%-906.96M-180.40%-1.58B-1.42%-34.8B-140.14%-646.62M-4.82%-35.8B
Net issuance payments of debt -44.92%-986.53M20.11%-1.18B-1,158.16%-4.02B-80.63%-1.18B24.47%-687.77M-36.75%-680.76M-160.23%-1.47B110.18%380M27.00%-654.04M1.91%-910.56M
Cash dividends paid ---------2.04%-36.48B-254.78%-486K-------------7.01%-35.75B172.18%314K-7.01%-35.75B
Net other financing activities 22.37%-175.59M-329.51%-476.21M-141.17%-233M13,066.12%935.32M-197.31%-831.25M-226.07%-226.2M76.64%-110.87M-79.94%566M-99.72%7.1M387.67%854.19M
Cash from discontinued financing activities
Financing cash flow -28.13%-1.16B-4.39%-1.65B-17.04%-40.73B61.87%-246.54M-6.12%-37.99B-184.75%-906.96M-180.40%-1.58B-1.42%-34.8B-140.14%-646.62M-4.82%-35.8B
Net cash flow
Beginning cash position -13.91%33.33B-32.61%33.82B26.18%50.19B-2.71%32.01B-8.31%49.75B-16.74%38.72B26.18%50.19B30.77%39.78B39.53%32.9B68.84%54.26B
Current changes in cash -60.33%4.38B95.55%-510.38M-257.74%-16.35B-89.35%1.85B17.10%-17.76B42.31%11.04B-271.20%-11.47B10.56%10.36B6.91%17.33B-150.31%-21.43B
Effect of exchange rate changes 122.45%1.05M385.57%16.97M-146.15%-24M18.02%-27.55M-77.02%14.18M-328.41%-4.69M-127.17%-5.94M500.00%52M-423.30%-33.6M3,333.02%61.69M
End cash Position -24.20%37.71B-13.91%33.33B-32.61%33.82B-32.61%33.82B-2.71%32.01B-8.31%49.75B-16.74%38.72B26.18%50.19B26.18%50.19B39.53%32.9B
Free cash flow -9.64%9.83B57.54%9.05B2.49%43.58B-26.89%12.69B48.31%14.27B21.23%10.88B-12.63%5.74B8.29%42.52B20.08%17.35B-21.05%9.62B
Currency Unit TWDTWDTWDTWDTWDTWDTWDTWDTWDTWD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

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Price Target

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