7Baggers

ASE Group
(NYSE:ASX) 

ASX stock logo

ASE Technology Holding Co., Ltd. provides a range of semiconductors packaging and testing, and electronic manufacturing services in the United States, Taiwan, Asia, Europe, and internationally. The company offers packaging services, including flip chip ball grid array (BGA), flip chip chip scale pac...

Founded: 1984
Full Time Employees: 97,259
Sector: Technology
Industry: Semiconductors

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Quarterly
Annual
    Unit: USD2025-10-30 2025-07-31 2025-04-30 2025-02-13 2024-12-31 2024-10-31 2024-07-25 2024-04-25 2024-02-01 2023-12-31 2023-10-26 2023-07-27 2023-05-26 2023-04-27 2023-02-09 2022-12-31 2022-10-27 2022-07-28 2022-04-28 2021-12-31 2020-12-31 2018-12-31 2017-12-31 2017-12-14 2017-08-08 2016-12-31 2016-11-22 2016-01-29 2015-12-31 2015-10-29 2015-07-30 2015-07-15 2015-06-25 2015-05-22 2015-04-30 2014-12-31 2014-05-30 2013-12-31 2013-08-29 2013-07-19 2013-05-29 2013-01-30 2012-12-31 2012-10-26 2012-07-27 2012-07-09 2012-04-27 2012-02-10 2011-12-31 2011-10-28 2011-09-07 2011-08-04 2011-07-22 2011-07-05 2011-04-29 2011-01-28 2010-12-31 2010-10-29 2010-07-30 2010-07-06 2010-06-17 2010-04-30 2010-02-05 2009-12-31 2009-10-30 2009-05-28 2009-04-29 2009-02-12 2008-12-31 2008-10-31 2008-08-05 2008-05-20 2008-05-02 2008-01-31 2007-12-31 2007-10-31 2007-08-03 2007-05-25 2007-04-25 2007-02-07 2006-12-31 2006-10-30 2006-08-02 2006-06-12 2006-04-27 2006-02-08 2005-12-31 2005-10-26 2005-08-03 2005-06-21 2005-04-28 2005-02-18 2004-10-28 2004-08-05 2004-05-17 2004-02-02 2003-10-30 2003-08-07 2003-04-28 
                                                                                                       
      net revenues
                                           72,926,652,000 72,926,652,000     69,439,165,000       67,339,406,000       46,134,314,000 46,134,314,000     48,451,017,000      55,543,272,000      63,065,652,000            43,205,967,000          
      packaging
    79,806 73,659 68,411 70,285 47,861.75 69,154 62,834 59,458 66,221 47,646 68,709 61,846  60,029,000,000 76,630,000,000 56,829,500,000 80,541,000,000 78,394,000,000 69,644,000,000         29,093,000,000  29,575,000,000 28,618,000,000    29,321,000,000       27,697,000,000  27,099,000,000 26,040,000,000                                       66,022,940,000           13,745,000,000 14,598,000,000 11,420,000,000 9,987,000,000 9,021,000,000 
      testing
    18,420 16,612 16,004 15,713 9,712 14,124 12,623 12,102 13,363 9,129.5 12,819 12,292  11,407,000,000 14,676,000,000 10,321,250,000 14,942,000,000 13,760,000,000 12,700,000,000         6,356,000,000  6,426,000,000 6,231,000,000    6,180,000,000       6,036,000,000  5,911,000,000 5,633,000,000  5,077,000,000 5,603,000,000  5,498,000,000  5,492,000,000   5,339,000,000 5,989,000,000  6,017,000,000 5,288,000,000   4,662,000,000 4,563,000,000 4,562,108,000 4,588,000,000  2,768,000,000 3,830,000,000  5,195,000,000 5,102,000,000  4,895,000,000 5,676,000,000  5,282,000,000 4,724,000,000  4,324,000,000 4,797,000,000 4,796,584,000 5,810,000,000 5,700,000,000 17,121,986,000 5,123,000,000 5,267,000,000  4,410,000,000 3,752,000,000  3,693,000,000 4,380,000,000 4,597,000,000 4,102,000,000 3,419,000,000 3,790,000,000 3,066,000,000 2,752,000,000 2,535,000,000 
      ems
    68,405 58,374 61,860 74,243 49,262.5 74,871 62,853 59,326 79,155 47,265.75 70,948 60,384  57,731,000,000 83,931,000,000 54,509,000,000 90,660,000,000 66,213,000,000 81,541,000,000         39,301,000,000  36,107,000,000 34,534,000,000    28,300,000,000       20,141,000,000  15,182,000,000 13,466,000,000  13,889,000,000 14,527,000,000  14,210,000,000  14,019,000,000   15,095,000,000 17,226,000,000  17,486,000,000 14,726,000,000   10,139,000,000                                      
      others
    1,938 2,105 1,878 2,023 1,450.25 1,956 1,928 1,917 1,842 1,292 1,691 1,753  1,724,000,000 2,180,000,000 1,704,250,000 2,483,000,000 2,072,000,000 2,273,000,000         179,000,000  -91,000,000 26,000,000    165,000,000     334,425,000 334,425,000 1,484,000,000  42,000,000 -16,000,000 372,076,000 51,000,000 49,000,000  14,000,000  75,000,000   71,000,000 3,482,000,000  697,000,000 702,000,000   673,000,000 599,000,000 -630,320,000 612,000,000 680,292,000 421,000,000 476,000,000  493,000,000 475,000,000  573,000,000 739,000,000  807,000,000 609,000,000  486,000,000 591,000,000 395,500,000 542,000,000 632,000,000  408,000,000 353,000,000  251,000,000 91,000,000  196,000,000 211,000,000 176,000,000 56,000,000 57,000,000 42,000,000 39,000,000 34,000,000 28,000,000 
      total net revenues
    168,569 150,750 148,153 162,264 108,286.5 160,105 140,238 132,803 160,581 105,333.25 154,167 136,275  130,891,000,000 177,417,000,000 123,364,000,000 188,626,000,000 160,439,000,000 166,158,000,000         75,548,000,000  72,870,000,000 70,222,000,000    64,662,000,000       56,008,000,000  48,991,000,000 45,872,000,000  43,101,000,000 46,390,000,000  46,698,000,000 92,259,614,000 46,254,000,000  46,005,423,000 46,005,000,000 53,283,000,000  51,489,000,000 46,416,000,000   37,555,000,000 26,293,000,000 26,292,314,000 25,205,000,000  13,397,000,000 18,311,000,000  25,815,000,000 25,610,000,000  24,695,000,000 28,976,000,000  27,733,000,000 23,362,000,000  21,093,000,000 22,574,000,000 22,573,647,000 26,726,000,000 26,287,000,000 84,035,798,000 24,837,000,000 26,404,000,000  22,340,000,000 18,819,000,000  18,569,000,000 22,202,000,000 22,023,000,000 20,290,000,000 17,221,000,000 18,430,000,000 14,525,000,000 12,773,000,000 11,584,000,000 
      cost of revenues
    -139,692 -125,063 -123,260 -135,633 -90,709.75 -133,673 -117,172 -111,935 -134,820 -88,834.25 -129,251 -114,534  -111,552,000,000 -143,318,000,000 -98,156,250,000 -150,654,000,000 -126,051,000,000 -134,704,000,000         -62,265,000,000  -59,883,000,000 -58,656,000,000    -52,349,000,000     54,561,142,000 54,561,142,000 -45,034,000,000  -39,387,000,000 -37,015,000,000 51,719,001,000 -35,913,000,000 -37,915,000,000  -37,786,000,000 74,637,165,000 -37,290,000,000 50,633,615,000 37,347,751,000 -37,347,000,000 -41,381,000,000  -40,384,000,000 -36,500,000,000 35,724,319,000 35,724,319,000 -29,999,000,000 -19,686,000,000 -11,986,000,000 -18,848,000,000 37,445,889,000 -12,739,000,000 15,096,000,000  19,186,000,000 19,098,000,000 40,262,656,000 18,507,000,000 19,603,000,000  19,303,000,000 16,958,000,000 46,252,990,000 16,096,000,000 16,176,000,000 13,860,000,000 18,451,000,000 18,795,000,000  18,202,000,000 19,869,000,000  18,191,000,000 16,679,000,000 34,677,446,000 16,681,000,000 18,553,000,000 17,587,000,000 15,821,000,000 13,452,000,000 13,849,000,000 11,742,000,000 10,803,000,000 10,073,000,000 
      gross profit
    28,877 25,687 24,893 26,631 96,931,673,693 26,432 23,066 20,868 25,761 91,757,066,004 24,916 21,741 63,383,227,000 19,339,000,000 34,099,000,000 34,099,012,000 37,972,000,000 34,388,000,000 31,454,000,000    14,793,723,000 37,938,548,000 53,194,219,000 15,377,120,000 37,817,099,000 13,283,000,000  12,987,000,000 11,566,000,000 29,361,166,000 12,313,415,000 29,361,166,000 12,313,000,000  22,264,748,000  10,431,896,000 18,365,510,000 18,365,510,000 10,974,000,000  9,604,000,000 8,857,000,000 17,720,164,000 7,188,000,000 8,475,000,000  8,912,000,000 17,622,449,000 8,964,000,000 16,705,791,000 8,657,672,000 8,658,000,000 11,902,000,000  11,105,000,000 9,916,000,000 10,409,995,000 10,409,995,000 7,556,000,000 6,607,000,000 6,607,184,000 6,357,000,000 11,005,128,000 658,000,000 3,215,000,000  6,629,000,000 6,512,000,000 15,280,616,000 6,188,000,000 9,373,000,000  8,430,000,000 6,404,000,000 16,812,662,000 4,997,000,000 6,398,000,000 6,370,380,000 8,275,000,000 7,492,000,000 14,517,794,000 6,635,000,000 6,535,000,000  4,149,000,000 2,140,000,000 8,528,521,000 1,888,000,000 3,649,000,000 4,436,000,000 4,469,000,000 3,769,000,000 4,581,000,000 2,783,000,000 1,970,000,000 1,511,000,000 
      yoy
    -100.00% -2.82% 7.92% 27.62% 376272846.29% -100.00% -7.42% -4.02% -100.00% 374.47% -100.00% -100.00% 66.92% -43.76% 8.41%    112.62%    -60.88% 185.62%  18.40% 226.97% -54.76%  -55.77% -6.07%  -44.70%  18.03%  21.23%   91.23% 107.36% -38.07%  13.32%  98.83% -59.21% -5.46%  2.94% 103.54% -24.68%  -22.04% -12.69% 14.33%  46.97% 50.08% 57.56% 63.76% -31.34% 904.10% 105.51%  66.01% -89.90% -78.96%  -29.28%  81.26% -3.37% -44.25%  31.76% 0.53% 103.17% -33.30% -55.93% -3.99% 26.63%  249.91% 210.05% -23.37%  13.70% -51.76% 90.84% -49.91% -20.34% 59.40% 126.85% 149.44%     
      qoq
    12.42% 3.19% -6.53% -100.00% 366720820.45% 14.59% 10.53% -18.99% -100.00% 368265536.55% 14.60% -100.00% 227.75% -43.29% -0.00% -10.20% 10.42% 9.33%     -61.01% -28.68% 245.93% -59.34% 184.70%   12.29% -60.61% 138.45% -58.06% 138.46%     -43.20% 0.00% 67.35%   8.43% -50.02% 146.52% -15.19%   -49.43% 96.59% -46.34% 92.96% -0.00% -27.26%   11.99% -4.75% 0.00% 37.77% 14.36% -0.00% 3.94% -42.24% 1572.51% -79.53%   1.80% -57.38% 146.94% -33.98%   31.64% -61.91% 236.46% -21.90% 0.43% -23.02% 10.45% -48.39% 118.81% 1.53%   93.88% -74.91% 351.72% -48.26% -17.74% -0.74% 18.57% -17.73% 64.61% 41.27% 30.38%  
      operating expenses
                                                                                                       
      research and development
    -8,308 -8,004 -7,579 -7,676 -5,288.5 -7,439 -7,106 -6,609 -6,950 -4,637.25 -6,759 -6,218  -5,572,000,000 -6,951,000,000 -4,354,750,000 -6,262,000,000 -5,795,000,000 -5,475,000,000         -2,804,000,000  -2,844,000,000 -2,733,000,000    -2,547,000,000     3,827,357,000 3,827,357,000 -2,138,000,000  -2,030,000,000 -1,948,000,000 3,094,997,000 -1,758,000,000 -1,954,000,000  -1,830,000,000 3,334,100,000 -1,703,000,000 2,775,607,000 1,631,382,000 -1,631,000,000 -1,665,000,000  -1,668,000,000 -1,560,000,000 2,036,633,000 2,036,633,000 -1,301,000,000 -1,081,000,000 6,142,950,000 -956,000,000 1,796,768,000 -750,000,000 811,000,000  925,000,000 980,000,000 1,584,771,000 1,096,000,000 1,128,000,000  748,000,000 720,000,000 1,393,691,000 689,000,000 690,000,000 690,036,000 663,000,000 645,000,000 2,785,432,000 634,000,000 769,000,000  679,000,000 672,000,000 1,198,376,000 675,000,000 730,000,000 675,000,000 595,000,000 584,000,000 660,000,000 601,000,000 550,000,000 543,000,000 
      selling, general and administrative
    -7,368 -7,490 -7,643 -7,744 -5,297.75 -7,517 -6,939 -6,734 -6,996 -4,733.5 -6,752 -6,111  -6,072,000,000 -7,374,000,000 -5,752,500,000 -8,027,000,000 -7,987,000,000 -7,203,000,000         -3,636,000,000  -3,761,000,000 -3,424,000,000    -3,474,000,000       -2,893,000,000  -2,776,000,000 -2,735,000,000  -2,584,000,000 -3,020,000,000  -2,770,000,000  -2,640,000,000   -2,640,000,000 -2,947,000,000  -2,772,000,000 -2,593,000,000   -1,976,000,000 -1,564,000,000 -989,000,000 -1,434,000,000  -1,319,000,000 1,421,000,000  1,808,000,000 1,948,000,000  1,740,000,000 1,602,000,000  1,573,000,000 1,796,000,000  1,537,000,000 1,485,000,000 1,054,250,000 1,492,000,000 1,407,000,000  1,316,000,000 1,529,000,000  1,465,000,000 1,573,000,000  1,379,000,000 1,572,000,000 1,639,000,000 1,515,000,000 1,372,000,000 1,434,000,000 1,356,000,000 1,261,000,000 1,169,000,000 
      total operating expenses
    -15,676 -15,494 -15,222 -15,420 57,765,401,345 -14,956 -14,045 -13,343 -13,946 51,429,462,483 -13,511 -12,329  -11,644,000,000 -14,325,000,000 95,183,429,000 -14,289,000,000 -13,782,000,000 -12,678,000,000    7,087,051,000 20,426,608,000 26,485,716,000 7,244,189,000 19,241,527,000 -6,440,000,000  -6,605,000,000 -6,157,000,000 11,105,108,000 6,021,147,000 11,105,108,000 -6,021,000,000  9,327,951,000  5,032,094,000 7,632,736,000 7,632,736,000 -5,031,000,000  -4,806,000,000 -4,683,000,000 6,861,032,000 -4,342,000,000 -4,974,000,000  -4,600,000,000 8,614,203,000 -4,343,000,000 6,344,588,000 4,270,554,000 -4,271,000,000 -4,612,000,000  -4,440,000,000 -4,153,000,000 4,761,070,000 4,761,070,000 -3,277,000,000 -2,645,000,000 15,618,841,000 -2,390,000,000 5,051,115,000 -2,069,000,000 2,232,000,000  2,733,000,000 2,928,000,000 4,600,320,000 2,836,000,000 2,730,000,000  2,321,000,000 2,516,000,000 4,235,598,000 2,226,000,000 2,175,000,000 2,174,949,000 2,155,000,000 2,052,000,000 8,698,632,000 1,950,000,000 2,298,000,000  2,144,000,000 2,245,000,000 3,535,531,000 2,054,000,000 2,302,000,000 2,314,000,000 2,110,000,000 1,956,000,000 2,094,000,000 1,957,000,000 1,811,000,000 1,712,000,000 
      operating income
    13,201 10,193 9,671 11,211 6,990.5 11,476 9,021 7,525 11,815 7,128.25 11,405 9,412  7,695,000,000 19,774,000,000 15,100,500,000 23,683,000,000 20,606,000,000 18,776,000,000         6,843,000,000  6,382,000,000 5,409,000,000    6,292,000,000       5,943,000,000  4,798,000,000 4,174,000,000  2,846,000,000 3,501,000,000  4,312,000,000  4,621,000,000   4,387,000,000 7,290,000,000  6,665,000,000 5,763,000,000   4,279,000,000 3,962,000,000 1,263,000,000 3,967,000,000  -1,411,000,000 983,000,000  3,896,000,000 3,584,000,000  3,352,000,000 6,643,000,000  6,109,000,000 3,888,000,000  2,771,000,000 4,223,000,000 4,062,750,000 6,120,000,000 5,440,000,000  4,685,000,000 4,237,000,000  2,005,000,000 -105,000,000   1,347,000,000 2,122,000,000 2,359,000,000 1,813,000,000 2,487,000,000 826,000,000 159,000,000  
      yoy
    88.84% -11.18% 7.21% 48.98% -40.83% 60.99% -20.90% -20.05%  -100.00% -100.00% -100.00%  -62.66% 5.32%                -14.03%             37.05%    -24.24%    -36.61%   -23.88%   55.76% 45.46%    -380.79% 28.48%   -139.37%   -41.35%   -13.79%   44.66% -4.30%  -49.06%  -13.28% 44.44%   -4561.90%   48.85% -104.95%   -45.84% 156.90% 1383.65%      
      qoq
    29.51% 5.40% -13.74% 60.37% -39.09% 27.21% 19.88% -36.31% 65.75% -37.50% 21.18%   -61.09% 30.95% -36.24% 14.93% 9.75%            17.99%              14.95%   -18.71%        -39.82%   15.65%    8.00% 213.70% -68.16%   -243.54%   8.71%   -49.54%   57.12%   -34.38% 3.94% -33.62% 12.50%   10.57%   -2009.52%    -36.52% -10.05% 30.12% -27.10% 201.09% 419.50%   
      net non-operating income and expenses
                                                                                                       
      interest expense - net
    -1,428 -1,203 -1,256 -1,308 -889.25 -1,291 -1,158 -1,107 -1,302 -856 -1,247 -1,100  -1,076,000,000 -1,093,000,000 -560,000,000 -966,000,000 -702,000,000 -537,000,000         -538,000,000  -492,000,000 -471,000,000    -526,000,000       -491,000,000  -409,000,000 -392,000,000  -391,000,000 -404,000,000  -334,000,000  -321,000,000    -316,000,000  -280,000,000 -282,000,000     -269,500,000 -303,000,000  -435,000,000                                 
      foreign exchange gain - net
    -3,790 11,885  -2,787 -687 1,890                                                                                              
      gain on valuation of financial assets and liabilities - net
    5,191 -12,098 2,873 4,017 1,454.75 -943 2,664                                                                                             
      gain on equity-method investments - net
    294 223 40 -133 250.25 485 459 57                                                                                            
      others - net
    508 255 157 441 425 643 551                                                                                             
      total non-operating income and expenses
    775 -938 139 230 1,394,393,785 784 1,096 335 552 962,344,280 847 699 -490,401,000 175,000,000 438,000,000 -438,283,000 -68,000,000 530,000,000     1,350,326,750 5,401,307,000  144,538,250 578,153,000     7,857,314,000 -785,652,000 7,857,314,000   4,458,346,000  -361,878,000                                                             
      income before tax
    13,976 9,255 9,810 11,441 7,544.25 12,260 10,117 7,860 12,367 7,558.25 12,252 10,111  7,870,000,000 20,212,000,000 15,353,500,000 23,615,000,000 21,136,000,000 18,873,000,000         6,150,000,000  7,810,000,000 5,400,000,000    5,506,000,000       5,810,000,000  4,458,000,000 3,738,000,000  2,583,000,000 2,952,000,000  4,200,000,000  4,749,000,000   5,096,000,000 6,972,000,000  6,475,000,000 5,383,000,000   4,073,000,000 3,972,000,000 1,104,000,000 3,857,000,000  -1,646,000,000 -523,000,000  3,154,000,000 3,562,000,000  3,283,000,000       4,038,000,000 4,553,250,000 5,539,000,000 8,592,000,000  4,083,000,000 3,271,000,000  1,734,000,000 -10,073,000,000   512,000,000 1,917,000,000 2,058,000,000 1,568,000,000 1,925,000,000    
      income tax expense
    -2,615 -1,576 -2,022 -1,862 7,916,468,897 -2,054 -1,952 -1,904 -2,461 5,303,969,582 -2,890 -1,914  -1,777,000,000 -3,596,000,000 29,948,534,000 -5,046,000,000 -4,479,000,000 -3,586,000,000    1,159,503,500 4,638,014,000 5,390,844,000 2,160,876,000 3,229,968,000 -1,266,000,000  -1,127,000,000 -1,596,000,000 2,520,705,000 856,180,000 2,520,705,000 -856,000,000  1,706,069,000  1,126,786,000 1,493,827,000 1,493,827,000     1,326,630,000     1,960,871,000  695,089,000 963,115,000      923,145,000 923,145,000     1,181,451,000  300,000,000  777,000,000 779,000,000 1,564,551,000 411,000,000 1,165,000,000  1,008,000,000 866,000,000 1,191,628,000 320,000,000 766,000,000 301,000,000 751,000,000 435,000,000  18,000,000 46,000,000   22,000,000   -184,000,000    -531,000,000 -235,000,000 -504,000,000  
      income from operations and before non-controlling interests
    11,361 7,679 7,788 9,579 6,070 10,206 8,165 5,956 9,906 5,912.75 9,362 8,197  6,093,000,000 16,616,000,000 12,152,750,000 18,569,000,000                                                                                   
      non-controlling interests
    -491 -158 -234 -267 1,437,975,176 -540 -382 -274 -514 1,849,953,318 -586 -457  -276,000,000 -886,000,000 5,367,549,000 -1,104,000,000      543,349,000 1,134,592,000 1,272,691,000 422,872,000 849,819,000      181,235,000      90,726,000                                                             
      net income attributable to shareholders of the parent
    10,870 7,521 7,554 9,312 5,776 9,666 7,783 5,682 9,392 5,583.25 8,776 7,740  5,817,000,000 15,730,000,000 11,590,000,000 17,465,000,000 15,988,000,000 14,459,000,000         4,562,000,000  6,368,000,000 3,652,000,000    4,469,000,000                                                                 
      per share data:
                                                                                                       
      earnings per share
                                                                                                       
      – basic
                                                                                                       
      – diluted
                                                                                                       
      earnings per equivalent ads
                                                                                                       
      number of weighted-average shares used in diluted eps calculation
    4,419,121 4,395,187 4,410,238 4,399,409  4,391,465 4,383,325 4,368,340 4,351,271  4,347,752 4,342,948  4,336,965 4,218,765  4,373,878 4,375,107 4,343,537         7,839,518  8,230,923 8,151,710    7,868,151       7,504,787  7,506,691 6,656,306  6,650,273 6,589,701  6,696,545  6,091,011   6,093,929 6,000,987  5,984,317 6,010,599   5,355,311 5,200,502  5,186,949  5,183,404 5,324,543  5,403,832 5,494,052  5,460,822 5,559,851  5,402,951 4,719,868  4,706,551              4,105,329  3,836,569  3,618,107   
      fx
    29.74 31.18 32.79 32.16 7.988 32.31 32.23 31.3 31.92 7.703 31.45 30.57  30.4 31.36 7.268 30.1 29.26 27.78                                                                                 
      foreign exchange loss - net
      -1,675    -1,420                                                                                     270,000,000    192,000,000    
      foreign exchange gain
           -3,219 3,731 -683.25 -2,090 -1,188  545,000,000 2,763,000,000 -1,305,750,000 -2,818,000,000 -1,301,000,000 525,000,000         428,000,000  -2,520,000,000 839,000,000    540,000,000     954,021,000 954,021,000 587,000,000  243,000,000 -371,000,000  506,000,000 348,000,000  -579,000,000 266,868,000 294,000,000 457,124,000  -27,000,000 137,000,000  146,000,000 -80,000,000   -4,000,000 35,000,000 34,203,000 -30,000,000  -107,000,000   146,000,000   -301,000,000     99,174,000      175,194,000      47,766,000          
      gain on valuation of financial assets and liabilities
           4,098 -2,977 1,209.25 2,820 1,914  103,000,000              -722,000,000  4,502,000,000 -349,000,000    -969,000,000       -400,000,000  -223,000,000 352,000,000  -426,000,000 -72,000,000  904,000,000  -94,000,000   169,000,000                                             
      gain on equity-method investments
            155 242.5 656   -12,000,000 85,000,000 260,750,000 358,000,000 486,000,000 192,000,000           29,000,000 -54,000,000    4,000,000       73,000,000  7,000,000 -9,000,000  -9,000,000 -25,000,000  -9,000,000  -2,000,000   132,000,000 -7,000,000  11,000,000 36,000,000   32,000,000 135,000,000 48,500,000 112,000,000  24,000,000                                 
      gain (loss) on equity-method investments
               326                                                                                        
      operating revenue
                63,383,227,000                   96,678,100,000  96,678,100,000   82,329,117,000              92,943,727,000   46,344,530,000                                              
      general and administrative expenses
                1,138,143,000          3,167,157,000 9,290,897,000 11,662,082,000 3,290,355,000 8,371,727,000     4,522,027,000 2,594,411,000 4,522,027,000   3,561,931,000  2,043,750,000                                                             
      profit from operations
                62,245,084,000          7,540,911,000 17,786,257,000 25,908,223,000 8,036,902,000 17,871,321,000     18,256,058,000 6,292,268,000 18,256,058,000   12,936,797,000  5,399,802,000                                                             
      non-operating income and expenses
                                                                                                       
      other income
                171,548,000          254,066,000 453,688,000 589,236,000 177,271,000 411,965,000     114,369,000 178,708,000 114,369,000   116,525,000  89,926,000                                                             
      other gains
                13,627,000                                                                                       
      finance costs
                -675,576,000          -453,992,000 -1,345,502,000 -2,261,075,000 -514,490,000 -1,746,585,000     -1,001,974,000 -582,388,000 -1,001,974,000   -817,169,000  -531,962,000                                                             
      profit before income tax
                61,754,683,000          7,833,099,000 23,187,564,000 28,025,141,000 9,575,667,000 18,449,474,000     26,113,372,000 5,506,616,000 26,113,372,000   17,395,143,000  5,037,924,000                                                             
      income tax benefits
                335,811,000                                                                                       
      net profit for the year
                62,090,494,000                                                                                       
      other comprehensive income
                                                                                                       
      items that will not be reclassified subsequently to profit or loss:
                                                                                                       
      share of other comprehensive income of subsidiaries
                -2,352,557,000                                                                                       
      income tax benefit relating to items that will not be reclassified subsequently to profit or loss
                -190,428,000                                                                                       
      items that may be reclassified subsequently to profit or loss:
                                                                                                       
      other comprehensive income for the year, net of income tax
                7,702,975,000                   5,137,947,000  5,137,947,000   3,109,849,000                                                               
      total comprehensive income for the year
                69,793,469,000                   28,730,614,000  28,730,614,000   18,798,923,000                                                               
      earnings per share
                                                                                                       
      basic
                14.53          0.64 2.16 2.79 0.91 1.88     3.07 0.02 3.07     0.51                                                             
      diluted
                13.94          0.62 1.98 2.33 0.75 1.58     2.95 0.02 2.95     0.5                                                             
      gain (loss) on valuation of financial assets and liabilities
                  -1,720,000,000 1,456,750,000 2,878,000,000 1,543,000,000 -551,000,000                                                                                 
      net revenues:
                                                                                                       
      operating expenses:
                                                                                                       
      net non-operating income and expenses:
                                                                                                       
      income from continuing operations and before non-controlling interest
                     16,657,000,000 15,287,000,000                                                                                 
      non-controlling interest
                     -669,000,000 -828,000,000                                                                                 
      net non-operating (expenses) income:
                                                                                                       
      total non-operating income
                      97,000,000         -693,000,000  1,428,000,000     -786,000,000                    709,000,000           4,059,355,000      4,391,045,000      8,129,931,000      746,943,000      358,506,000          
      earnings (losses) per share
                                                                                                       
      operating revenues
                          83,986,054,000 206,455,154,000 274,884,107,000 77,128,633,000 197,755,474,000      64,662,158,000      50,759,768,000                                                             
      operating costs
                          42,129,151,500 168,516,606,000 221,689,888,000 61,751,513,000 159,938,375,000     67,316,934,000 52,348,743,000 67,316,934,000   60,064,369,000  40,327,872,000                                                             
      selling and marketing expenses
                          874,348,000 2,434,644,000 3,432,487,000 863,175,000 2,569,312,000     1,110,116,000 879,419,000 1,110,116,000   903,186,000  728,281,000                                                             
      research and development expenses
                          3,045,546,000 8,701,067,000 11,391,147,000 3,090,659,000 8,300,488,000     5,472,965,000 2,547,317,000 5,472,965,000   4,862,834,000  2,260,063,000                                                             
      other operating income and
                                                                                                       
      expenses
                          -165,761,000 274,317,000 -800,280,000 -96,029,000 -704,251,000                                                                         
      non-operating income and
                                                                                                       
      other gains and losses
                          508,841,000 5,750,612,000 2,276,544,000 1,542,478,000 734,066,000     8,043,000  8,043,000   -403,734,000  97,051,000                                                             
      share of profit of associates and joint
                                                                                                       
      ventures
                          135,627,250 542,509,000  294,676,750 1,178,707,000                                                                         
      profit for the period
                          4,637,387,500 18,549,550,000  3,804,876,500 15,219,506,000                                                                         
      items that may be reclassified
                                                                                                       
      subsequently to profit or loss:
                                                                                                       
      exchange differences on translating
                                                                                                       
      foreign operations
                          -1,108,254,000 -4,179,480,000 -6,445,643,000 297,888,000 -6,743,531,000                                                                         
      unrealized gain on available- for-sale
                                                                                                       
      financial assets
                          45,756,500 183,026,000                                                                            
      share of other comprehensive income of
                                                                                                       
      associates and joint ventures accounted
                                                                                                       
      for using the equity method
                          106,675,750 426,703,000  -133,761,000 -535,044,000                                                                         
      total comprehensive income
                                                                                                       
      for the period
                          3,744,949,750 14,979,799,000  1,971,990,500 7,887,962,000                                                                         
      net profit attributable to:
                                                                                                       
      owners of the company
                          5,404,161,000 17,414,958,000 21,361,606,000 6,991,919,000 14,369,687,000      4,469,201,000      3,820,412,000                                                             
      attributable to:
                                                                                                       
      earnings per american
                                                                                                       
      depositary share
                                                                                                       
      basic
                          3.17 10.81 13.94 4.56 9.38                                                                         
      diluted
                          3.1 9.88 11.67 3.77 7.9                                                                         
      share of the profit or loss of
                                                                                                       
      associates and joint ventures
                            1,512,213,000                                                                           
      total non-operating income and
                                                                                                       
      profit for the year
                            22,634,297,000       23,592,667,000  23,592,667,000   15,689,074,000                                                               
      items that will not be reclassified
                                                                                                       
      remeasurement of defined benefit
                                                                                                       
      obligation
                            -417,181,000                                                                           
      share of other comprehensive loss
                                                                                                       
      of associates and joint ventures
                            -49,794,000                                                                           
      income tax relating to items that will
                                                                                                       
      not be reclassified subsequently
                            73,637,000                                                                           
      unrealized gain (loss) on available-
                                                                                                       
      for-sale financial assets
                            -248,599,000                                                                           
      cash flow hedges
                                        4,524,000  1,940,000                                                             
      share of other comprehensive
                                                                                                       
      income of associates
                                                                                                       
      and joint ventures
                            -871,679,000                                                                           
      for the year, net of income tax
                            -7,959,259,000                                                                           
      for the year
                            14,675,038,000                                                                           
      for the year attributable
                                                                                                       
      to:
                                                                                                       
      unrealized loss on available- for-sale financial
                                                                                                       
      assets
                             -13,242,250 -52,969,000                                                                         
      share of other comprehensive loss of
                                                                                                       
      direct material
                               798,000,000  762,000,000 839,000,000    861,000,000       650,000,000  799,000,000 733,000,000  553,000,000 668,000,000  645,000,000  677,000,000   688,000,000 583,000,000                                            
      gain on equity-method investments2
                               -40,000,000                                                                        
      income from continuing operations and before noncontrolling interest
                               4,884,000,000  6,683,000,000 3,804,000,000    4,650,000,000                                                                 
      noncontrolling interest
                               -322,000,000  -315,000,000 -152,000,000    -181,000,000                                                                 
      exchange rate
                               32.55  31.69 30.84    31.52       29.13  29.86 29.53  29.74 30.24  28.94  28.88   29.29 30.51  31.87 31.78   31.95 32.26 8.315 32.81  33.82 32.83  30.95 30.36  31.74 32.44  32.86 33.11  32.78 32.84 8.09 32.7                  
      share of the profit of subsidiaries and associates
                                   8,736,876,000  8,736,876,000   5,562,724,000                                                               
      unrealized gain on available-for-sale financial assets
                                   2,376,000 -54,710,000 2,376,000   42,254,000  -25,208,000                                                             
      share of other comprehensive income of subsidiaries and associates
                                   5,149,012,000  5,149,012,000   2,855,480,000                                                               
      remeasurement of defined benefit obligation
                                   -16,194,000  -16,194,000   251,036,000                                                               
      income tax relating to the components of other comprehensive income or loss
                                   2,753,000  2,753,000   -43,445,000                                                               
      other losses
                                    -385,776,000                                                                   
      share of the profit or loss of associates
                                    3,804,000                                                                   
      net profit for the period
                                    4,650,436,000      3,911,138,000                                                             
      items that may be reclassified subsequently to profit or loss
                                                                                                       
      exchange differences on translating foreign operations
                                    -1,715,519,000      962,622,000                                                             
      share of other comprehensive income of associates
                                    92,987,000                                                                   
      other comprehensive income for the period, net of income tax
                                    -1,677,242,000      954,086,000                                                             
      total comprehensive income for the period
                                    2,973,194,000      4,865,224,000                                                             
      total comprehensive income attributable to:
                                                                                                       
      share of the loss of associates
                                          -16,893,000                                                             
      share of the other comprehensive income of associates
                                          14,732,000                                                             
      income tax relating to the components of other comprehensive income
                                                                                                       
      revenues
                                           73,872,217,000 73,872,217,000     69,975,733,000       68,005,684,000       46,805,576,000 46,805,576,000     49,073,365,000      56,217,937,000                            
      less: sales discounts and allowances
                                           945,565,000 945,565,000     536,568,000       666,278,000       671,262,000 671,262,000     622,348,000      674,665,000                            
      selling
                                           860,445,000 860,445,000     771,976,000     1,386,406,000  745,295,000 706,287,000      783,222,000 783,222,000     716,055,000      748,942,000      1,102,851,000      1,100,023,000      953,973,000          
      general and administrative
                                           2,944,934,000 2,944,934,000     2,994,059,000     3,893,697,000  2,823,686,000 1,932,885,000      1,941,215,000 1,941,215,000     2,538,292,000      2,266,607,000      1,739,056,000      4,813,177,000      1,383,182,000          
      income from operations
                                           10,732,774,000 10,732,774,000     10,859,132,000     9,008,246,000  10,361,203,000 4,387,118,000      5,648,925,000 5,648,925,000     5,954,013,000      10,680,296,000      12,577,064,000      5,819,162,000      4,992,990,000          
      non-operating income and gains
                                                                                                       
      interest income
                                           3,201,000 3,201,000     4,642,000     145,996,000  10,559,000 74,795,000      19,363,000 19,363,000     40,033,000      88,521,000      99,803,000                      
      gain on valuation of financial assets
                                           2,218,000 2,218,000     757,669,000     321,096,000  455,097,000 114,946,000      808,585,000 808,585,000     753,390,000      80,671,000                            
      gain on valuation of financial liabilities
                                                 58,962,000        53,566,000                  106,853,000                            
      equity in earnings of equity method investments
                                           4,335,611,000 4,335,611,000     4,497,292,000     130,461,000  9,918,123,000 132,127,000      2,762,236,000 2,762,236,000                                       
      dividend income
                                           29,683,000 29,683,000     607,403,000                                                      
      total non-operating income and gains
                                           5,659,159,000 5,659,159,000     6,298,044,000     1,995,032,000  11,237,285,000 1,177,959,000      4,222,678,000 4,222,678,000                                       
      non-operating expenses and losses
                                                                                                       
      interest expense
                                           717,451,000 717,451,000     893,343,000     743,168,000  1,060,346,000 351,040,000      1,070,718,000 1,070,718,000     852,027,000      454,755,000      712,834,000                      
      loss on valuation of financial liabilities
                                           782,396,000 782,396,000          277,966,000  872,900,000       572,952,000 572,952,000     513,556,000                                  
      foreign exchange loss
                                                 653,041,000              3,631,000 3,631,000     159,625,000  166,000,000      -198,000,000  -39,000,000 -147,000,000  -19,000,000  16,500,000 89,000,000 17,000,000   105,000,000              
      impairment loss
                                           27,974,000 27,974,000     164,770,000       161,024,000 17,844,000                                              
      total non-operating expenses and losses
                                           1,806,747,000 1,806,747,000     2,104,588,000     1,157,849,000  2,565,899,000 468,652,000      2,203,912,000 2,203,912,000                                       
      income before income tax
                                           14,585,186,000 14,585,186,000     15,052,588,000     9,845,429,000  19,032,589,000 5,096,425,000      7,667,691,000 7,667,691,000     7,341,503,000      13,729,800,000            -5,673,846,000                
      net income
                                           13,091,359,000 13,091,359,000 4,387,000,000  3,446,000,000 3,202,000,000 13,725,958,000 2,056,000,000 2,639,000,000  3,468,000,000 7,884,558,000 3,644,000,000 18,337,500,000 4,133,310,000 3,974,000,000 4,962,000,000  5,460,000,000 4,613,000,000 6,744,546,000 6,744,546,000 3,395,000,000 3,450,000,000 3,608,468,000 3,187,000,000 6,160,052,000 -1,567,000,000   2,212,000,000 2,412,000,000 12,165,249,000 2,337,000,000 3,704,000,000  4,225,000,000 2,575,000,000 17,416,151,000 1,661,000,000 2,734,000,000 5,142,134,000 4,181,000,000 7,319,000,000 -5,201,491,000 3,182,000,000 2,915,000,000  1,588,000,000 -9,094,000,000 4,209,690,000  680,000,000 1,960,000,000 2,020,000,000 1,637,000,000 2,148,000,000 583,000,000 360,000,000  
      yoy
                                           279.90% 308.85% -68.04%  30.58%  295.79% -73.92% -27.58%  -16.10% 98.40% -26.56%  -24.30% -13.85% -26.43%  60.82% 33.71% 86.91% 111.63% -44.89% -320.17%   178.48% -164.97%   -40.28%  187.93% -9.24% -78.73%  54.54% -49.92% 316.55% -77.31% -152.56% 61.60% 43.43%  -427.55% -134.99% -30.75%  133.53% -563.98% 108.40%  -68.34% 236.19% 461.11%      
      qoq
                                           0.00% 198.41%   7.62% -76.67% 567.60% -22.09%   -56.02% 116.37% -80.13% 343.65% 4.01% -19.91%   18.36% -31.60% 0.00% 98.66% -1.59% -4.39% 13.22% -48.26% -493.11%    -8.29% -80.17% 420.55% -36.91%   64.08% -85.21% 948.53% -39.25% -46.83% 22.99% -42.87% -240.71% -263.47% 9.16%   -117.46% -316.03%   -65.31% -2.97% 23.40% -23.79% 268.44% 61.94%   
      basic eps
                                           1.96 1.96     2.28       3.22       1.49 1.49     1.36                                  
      diluted eps
                                           1.91 1.91     2.23       3.16       1.47 1.47     1.33                                  
      total non-operating (expenses) income
                                             -133,000,000  -340,000,000 -436,000,000  -263,000,000 -549,000,000  -112,000,000  128,000,000    -318,000,000  -190,000,000 -380,000,000   -206,000,000 10,000,000 -159,000,000 -110,000,000  -235,000,000                                 
      income tax benefit
                                             -1,269,000,000   -442,000,000  -465,000,000 -340,000,000  -717,000,000  -998,000,000   -963,000,000 -1,777,000,000  -771,000,000 -611,000,000   -455,000,000 -418,000,000 -266,500,000 -558,000,000  50,000,000                 118,656,000      682,391,000          
      income from continuing operations and before minority interest
                                             4,541,000,000  3,593,000,000 3,296,000,000  2,118,000,000 2,612,000,000  3,483,000,000  3,751,000,000   4,133,000,000 5,195,000,000  5,704,000,000 4,772,000,000   3,618,000,000 3,554,000,000 837,500,000 3,299,000,000  -1,596,000,000                                 
      minority interest
                                             -154,000,000  -147,000,000 -94,000,000  -62,000,000 27,000,000  -15,000,000 266,101,000 -107,000,000  159,500,000 -159,000,000 -233,000,000  -244,000,000 -159,000,000   -223,000,000 -104,000,000 213,922,000 -112,000,000  29,000,000 -23,000,000  165,000,000 371,000,000  535,000,000 787,000,000  596,000,000 156,000,000  289,000,000 538,000,000 537,983,000 607,000,000 838,000,000 -510,304,000 426,000,000 540,000,000  185,000,000 -1,001,000,000   16,000,000 305,000,000 605,000,000 204,000,000 308,000,000 -11,000,000 5,000,000  
      income tax
                                               -865,000,000                                                        
      ic packaging
                                                  23,531,000,000 25,543,000,000  26,331,000,000  25,991,000,000   24,812,000,000 26,003,000,000  27,289,000,000 25,700,000,000   22,081,000,000 21,131,000,000 11,701,000,000 20,005,000,000  10,208,000,000 14,005,000,000  20,127,000,000 20,033,000,000  19,227,000,000 22,561,000,000  21,644,000,000 18,029,000,000  16,283,000,000 17,186,000,000 14,908,750,000 20,374,000,000 18,701,000,000  17,831,000,000 18,730,000,000  15,266,000,000 12,693,000,000  12,755,000,000 14,695,000,000 14,318,000,000 12,756,000,000      
      less: sales returns and discounts
                                                      -684,113,000   339,107,000                                              
      dividend revenue
                                                      595,887,000   578,236,000                                              
      other
                                                      534,724,000  396,382,000 224,289,000      632,494,000 632,494,000     856,196,000      893,670,000      433,594,000      890,872,000      264,436,000          
      attributable to
                                                                                                       
      shareholders of the parent
                                                      7,618,457,000   3,973,810,000                                              
      basic earnings per share
                                                                                                       
      before income tax
                                                      1.43   0.73                                              
      after income tax
                                                      1.28   0.67                                              
      diluted earnings per share
                                                                                                       
      exchange loss
                                                         26,554,000                                              
      interest expense – net
                                                          -276,000,000       -292,000,000 -256,000,000                                     
      earnings (losses) per equivalent ads
                                                                                                       
      non-operating income
                                                                                                       
      equity in earnings of equity method investees
                                                                     2,409,736,000      3,221,330,000      5,102,734,000      74,292,000                
      non-operating expenses
                                                                                                       
      loss on inventory valuation and obsolescence
                                                                     466,365,000      267,663,000      784,330,000                      
      total non-operating expenses
                                                                     2,671,865,000  1,506,000,000  742,000,000 22,000,000 1,341,541,000 69,000,000 987,000,000  280,000,000 291,000,000 2,613,315,000 501,000,000 185,000,000  581,000,000  12,239,951,000 602,000,000 966,000,000  271,000,000 9,968,000,000 1,797,353,000 342,000,000 835,000,000 205,000,000 301,000,000 245,000,000 562,000,000 489,000,000 298,000,000 510,000,000 
      net non-operating expenses:
                                                                                                       
      interest expenses - net
                                                                       522,000,000  421,000,000 268,000,000  275,000,000 293,000,000  273,000,000 306,000,000  354,000,000 214,000,000 250,000,000 303,000,000 338,000,000  359,000,000 390,000,000  354,000,000 361,000,000  294,000,000 224,000,000       389,000,000 
      loss on equity-method investment
                                                                       125,000,000                                
      income from continuing operations and before minor interest
                                                                       -823,000,000  2,377,000,000 2,783,000,000                             
      net (loss) income
                                                                       -800,000,000                                
      earnings (loss) per share
                                                                                                       
      earnings (loss) per equivalent ads
                                                                                                       
      gain on equity-method investment
                                                                         -69,000,000                              
      gain on long-term investment
                                                                            -104,000,000                           
      gain on insurance settlement and impairment recovery
                                                                                 2,362,579,000                      
      foreign exchang loss
                                                                           22,204,000                            
      income from continuing operations
                                                                           12,165,249,000        3,272,000,000 4,252,250,000 4,788,000,000 8,157,000,000 -5,555,190,000 4,065,000,000 3,225,000,000              
      operation income for separated operation, net of income tax expense of 117,123 thousand
                                                                                                       
      income before cumulative effect of changes in accounting princlples
                                                                           12,165,249,000                            
      cumulative effect of changes in accounting principles, net of income tax benefit of 114,336 thousand
                                                                                                       
      separated operation
                                                                                                       
      income before cumulative effect of changes in accounting principles
                                                                           2.64                            
      cumulative effect of changes in accounting principles
                                                                                                       
      income from continuing operations and minor interest
                                                                            2,872,000,000                           
      earnings (loss) per pro forma equivalent ads
                                                                                                       
      loss (gain) on long-term investment
                                                                             -96,000,000  -111,000,000 -65,000,000  -76,000,000                     
      income (loss) before tax
                                                                             5,656,000,000  5,829,000,000 3,597,000,000  2,270,000,000                  337,000,000 -139,000,000  
      income (loss) from continuing operations
                                                                             4,491,000,000  4,821,000,000 2,731,000,000 16,902,052,000 1,950,000,000                     
      cumulative effect of change in accounting principle
                                                                                 -100       457,000,000               
      income (loss) before minority interest
                                                                             4,491,000,000  4,821,000,000 2,731,000,000  1,950,000,000                     
      sales revenues
                                                                                 63,623,648,000                      
      less: sale discounts and allowances
                                                                                 557,996,000                      
      gain on valuation of financial asset
                                                                                 32,047,000                      
      gain on valuation of financial liability
                                                                                                       
      equity in losses of equity method investees
                                                                                                       
      loss on valuation of financial liability
                                                                                 219,683,000                      
      loss on fire damage
                                                                                       8,838,079,000                
      income (loss) before income tax
                                                                                 18,093,680,000                      
      operation income for separated operation
                                                                                 857,105,000                      
      income (loss) before cumulative effect of change in accounting princlple
                                                                                 17,759,157,000                      
      cumulative effect of change in accounting principle, net of tax benefit of 114,336 thousand in 2006
                                                                                 -343,006,000                      
      earnings
                                                                                                       
      separated operations
                                                                                 220                      
      income before cumulative effect of change in accounting principle
                                                                                 4,330                      
      loss on long-term investment
                                                                                            2,000,000   327,000,000 4,000,000  22,000,000 40,000,000   96,000,000 
      loss on disposal of assets
                                                                                   35,000,000 16,250,000 33,000,000 26,000,000   32,000,000  5,000,000 76,000,000  4,000,000 26,000,000 35,000,000  40,000,000 3,000,000   54,000,000 
      loss from discontinued operations
                                                                                                       
      cumulative effect of change in accounting
                                                                                                       
      principle
                                                                                    114,250,000   -5,201,491,000      3,554,143,000          
      income before minority interest
                                                                                   3,272,000,000 4,138,000,000 4,788,000,000 8,157,000,000  3,608,000,000 3,455,000,000              
      earnings per pro forma equivalent ads
                                                                                                       
      number of weighted-average shares used in
                                                                                   4,693,690  4,673,918 4,673,421   4,615,664     3,943,780         
      diluted eps calculation
                                                                                                       
      module assembly
                                                                                      1,254,000,000  1,475,000,000 2,054,000,000  2,413,000,000 2,283,000,000  1,925,000,000 2,916,000,000 2,932,000,000 3,376,000,000      
      loss from discontinuing operations
                                                                                                       
      earnings per common share
                                                                                                       
      forex
                                                                                      32.12  32.26 33.4  32 31.36  31.54 33.08 33.88 33.3 33.49 33.9 34.27 34.7 34.65 
      total cost of revenues
                                                                                       69,518,004,000                
      interest
                                                                                       173,325,000      46,304,000          
      gain on sale of investment
                                                                                       71,676,000                
      realized loss on long-term investments
                                                                                                       
      other investment loss
                                                                                             493,380,000          
      impairment of goodwill
                                                                                                       
      discontinued operations
                                                                                       0.08                
      income from discontinued operations, net of income tax
                                                                                                       
      expense of nt572 thousand in 2003, nt677 thousand in
                                                                                                       
      2004 and nt2,147 thousand in 2005
                                                                                       120,962,000                
      gain on disposal of discontinued operations, net of income
                                                                                                       
      tax expense of nt1,920 thousand in 2005
                                                                                       232,737,000                
      income before extraordinary loss and
                                                                                                       
      extraordinary loss
                                                                                                       
      shareholders of parent company
                                                                                       -4,691,187,000                
      income of parent company’s common
                                                                                                       
      shareholders
                                                                                       -1.23                
      number of weighted-average shares used in diluted eps
                                                                                        4,651,513               
      calculation
                                                                                                       
      goodwill impairment
                                                                                                       
      earnings per pro forma equivalent
                                                                                                       
      ads
                                                                                                       
      net income before minority interest
                                                                                           1,773,000,000 -10,095,000,000   696,000,000 2,265,000,000  1,841,000,000 2,456,000,000 572,000,000 365,000,000  
      number of weighted-average shares used
                                                                                           4,580,884 3,945,236         3,142,200 3,090,678 
      in diluted eps calculation
                                                                                                       
      less: sale allowances and returns
                                                                                             706,867,000          
      investment loss under the equity method
                                                                                             549,628,000          
      income before income tax and
                                                                                                       
      cumulative
                                                                                                       
      effect of change in accounting
                                                                                                       
      income before cumulative effect of change
                                                                                                       
      in accounting principle
                                                                                             4,236,534,000          
      earnings per share
                                                                                                       
      basic
                14.53          0.64 2.16 2.79 0.91 1.88     3.07 0.02 3.07     0.51                                                             
      income before cumulative effect of change in accounting
                                                                                                       
      cumulative effect of change in accounting principle
                                                                                 -100       457,000,000               
      diluted
                                                                                                       
      net non-operating (income) expenses:
                                                                                                       
      – basic us0.025
                                                                                                       
      – diluted us0.023
                                                                                                       
      number of weighted-average shares 4,155,231
                                                                                                       
      used in diluted eps calculation
                                                                                                       
      interest expenses (income) - net
                                                                                                252,000,000 197,000,000 225,000,000 238,000,000 299,000,000 -153,000,000  
      –basic
                                                                                                       
      –diluted
                                                                                                       
      loss (income) on long-term investment
                                                                                                 29,000,000   42,000,000 63,000,000  
      loss (gain) on disposal of assets
                                                                                                 44,000,000   1,000,000 415,000,000  
      net income (loss) before minority interest
                                                                                                 2,625,000,000      
      number of weighted-average shares
                                                                                                 3,806,572      
      used in diluted eps calculation (in
                                                                                                       
      thousands)
                                                                                                       
      number of weighted average shares
                                                                                                   3,537,049    
      foreign currency loss - net
                                                                                                    155,000,000 25,000,000 14,000,000 
      - basic
                                                                                                       
      - diluted
                                                                                                       
      in the eps calculation
                                                                                                       
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-10-30 2025-07-31 2025-04-30 2024-12-31 2024-10-31 2024-07-25 2024-04-25 2024-02-13 2023-12-31 2023-10-26 2023-07-27 2023-05-26 2023-04-27 2023-02-01 2022-12-31 2022-10-27 2022-02-09 2021-12-31 2019-12-31 2017-12-31 2017-12-14 2017-08-08 2016-12-31 2016-11-22 2015-12-31 2015-07-15 2015-06-25 2015-05-22 2015-04-30 2015-02-06 2014-10-30 2014-07-30 2014-07-11 2014-05-30 2014-04-25 2014-02-07 2013-12-31 2013-10-30 2013-08-29 2013-07-26 2013-07-19 2013-05-29 2013-01-30 2012-12-31 2012-10-26 2012-07-27 2012-07-09 2012-04-27 2012-02-10 2011-12-31 2011-10-28 2011-09-07 2011-08-04 2011-07-22 2011-07-05 2011-05-31 2011-04-29 2011-01-28 2010-12-31 2010-10-29 2010-07-30 2010-07-06 2010-04-30 2009-12-31 2009-05-28 2008-12-31 2008-05-20 2007-12-31 2007-05-25 2007-04-25 2006-12-31 2006-06-12 2005-12-31 2005-06-21 
                                                                                
        current assets
                                                 97,638,182      89,609,964                         
        cash and cash equivalents
      75,142 72,785 77,100 76,492,824,000 71,711 66,173 75,105 76,493 67,284,518,000 62,812 59,351  62,056,000,000 67,284 58,040,394,000 52,358,000,000 58,040,000,000 76,073,345,000 60,130,875,000 46,078,066,000 38,975,077,000 38,392,524,000 38,392,524,000 37,661,420,000 55,251,181,000  49,414,436,000    32,968,000,000 41,730,000,000 43,577,488,000  43,577,000,000  45,026,371,000  25,740,189,000 25,740,000,000     21,864,000,000 21,085,000,000  30,307,000,000 24,422,000,000  32,089,000,000 19,582,697,000 19,583,000,000  26,958,770,000  26,959,000,000 24,202,000,000 23,397,557,000 26,278,000,000 24,771,000,000  36,505,000,000 22,557,494,000  26,138,930,000    14,008,000,000   13,263,788,000  
        financial assets – current
      8,270 4,118 16,435  6,643 9,162 8,410 9,376  9,055 7,040  6,317,000,000 4,683  9,667,000,000 7,560,000,000              3,817,000,000 3,653,000,000   5,289,000,000     4,576,000,000     1,700,000,000 2,496,000,000  599,000,000 846,000,000  1,091,000,000  687,000,000    1,420,000,000 1,608,000,000  3,075,000,000 3,290,000,000  3,912,000,000       12,704,000,000     
        trade receivables
      125,663 103,101 109,717 113,419,820,000 114,061 102,354 97,264 113,420 99,529,100,000 114,078 98,671  91,514,000,000 99,529 114,646,999,000   115,462,210,000 78,948,473,000 55,200,706,000 51,830,071,000 51,145,557,000 51,145,557,000 52,009,578,000 44,931,487,000 16,473,504,000 43,009,481,000 16,473,504,000     37,856,827,000 12,061,441,000   43,235,573,000  34,914,419,000                                    
        inventories
      66,182 57,058 59,858 57,313,938,000 68,986 63,488 63,259 61,181 59,606,188,000 76,953 77,568  85,667,000,000 63,275 87,337,475,000 101,287,000,000 92,826,000,000 67,832,981,000 33,883,750,000 24,260,911,000 26,771,663,000 21,438,062,000 21,438,062,000 23,635,153,000 23,258,279,000 4,323,668,000 23,450,499,000 4,323,668,000   42,264,000,000 37,427,000,000 15,495,215,000 3,642,616,000 36,269,000,000  16,281,236,000  14,451,657,000 32,045,000,000 3,538,679,000 3,538,679,000   32,922,000,000 31,613,000,000 3,292,068,000 28,957,000,000 30,070,000,000  26,813,000,000 13,824,103,000 24,207,000,000 2,910,324,000 13,590,276,000 2,910,324,000 24,000,000,000 24,114,000,000 13,170,779,000 25,220,000,000 24,905,000,000 2,086,376,000 20,687,000,000 4,955,227,000 1,638,486,000 4,991,711,000 2,476,094,000 5,596,875,000 3,113,763,000 5,501,000,000 5,674,010,000 6,166,166,000 7,757,077,000 6,865,968,000 
        others
      18,823 16,933 15,542  17,364 29,148 28,964 14,815  29,791 28,400  25,717,000,000 26,576  29,239,000,000 27,294,000,000              5,682,000,000 4,483,000,000   4,150,000,000     4,196,000,000     5,706,000,000 5,085,000,000  4,873,000,000 4,318,000,000  7,006,000,000  5,967,000,000    4,545,000,000 4,464,000,000  5,563,000,000 3,481,000,000  5,623,000,000 63,830,000 4,744,000     4,086,000,000     
        total current assets
      294,080 253,995 278,652 275,285,086,000 278,765 270,325 273,002 275,285 261,347,505,000 292,689 271,030 481,779,000 271,271,000,000 261,347 300,367,224,000 332,729,000,000 300,367,000,000 292,357,728,000 202,001,118,000 144,938,272,000 139,912,228,000 142,789,659,000 142,789,659,000 143,369,196,000 156,732,840,000 41,483,018,000  41,483,018,000   133,226,000,000 128,408,000,000 127,142,178,000 37,009,050,000 127,142,000,000  132,176,482,000  101,471,545,000 101,471,000,000 18,147,566,000 18,147,566,000   95,602,000,000 91,898,000,000 17,147,117,000 93,973,000,000 90,132,000,000  100,993,000,000 83,503,981,000 83,504,000,000 16,752,587,000 90,022,993,000 16,752,587,000 90,023,000,000 88,509,000,000 85,598,925,000 96,465,000,000 90,756,000,000 17,591,613,000 100,123,000,000 61,413,002,000 11,426,119,000 46,366,851,000 23,650,598,000 56,902,021,000 23,022,894,000 48,700,000,000 48,762,798,000 25,317,511,000 47,673,190,000 19,564,504,000 
        financial assets - non-current & investments - equity -method
      41,678 38,409                                                                         
        property, plant and equipment
      397,195 364,849 342,056 312,531,471,000 283,447 271,835 265,592 312,531 264,812,022,000 267,316 262,604  266,005,000,000 264,812 268,234,618,000 264,508,000,000 268,235,000,000 239,867,550,000 232,093,327,000   143,880,241,000    77,640,995,000 150,055,369,000 77,640,995,000     130,422,379,000 63,122,172,000   131,497,331,000       125,165,008      110,927,450  104,565,795,000   101,104,483,000    99,853,912,000                
        right-of-use assets
      12,725 11,721 11,754 11,851,087,000 11,499 11,292 11,534 11,851 11,442,266,000 10,758 10,691  10,882,000,000 11,442 11,060,783,000 11,822,000,000 11,061,000,000 10,680,262,000 9,792,221,000                                                        
        intangible assets
      65,439 65,610 66,955  68,038 68,300 68,986 67,562  70,538 71,298  72,101,000,000 69,569  73,590,000,000 72,835,000,000              11,880,000,000 11,864,000,000   11,946,000,000     12,159,000,000    15,848,008 15,788,000,000 16,036,000,000  15,550,000,000 15,772,000,000 15,896,234 14,901,000,000  14,829,000,000    15,122,000,000 15,391,000,000  16,007,000,000 16,419,000,000  16,504,000,000            
        total assets
      842,644 765,175 774,177  714,559 682,930 681,470 740,698  701,084 672,521  675,440,000,000 666,575  737,829,000,000 707,068,000,000              304,727,000,000 287,600,000,000   279,821,000,000     255,225,000,000    242,656,744 241,972,000,000 233,647,000,000  227,010,000,000 223,878,000,000 220,091,347 233,701,000,000  210,102,000,000    213,450,000,000 213,154,000,000  222,561,000,000 210,049,000,000  209,798,000,000       143,568,000,000     
        current liabilities
                                                 85,290,939      67,443,174                         
        short-term borrowings3
      59,976 40,369 55,485                                                                        
        long-term debts - current portion
      7,837 12,930                                                                         
        trade payables
      90,442 70,518 74,382 78,221,100,000 82,595 70,906 66,454 78,221 70,329,069,000 79,053 67,225  63,552,000,000 70,329 78,997,300,000   84,470,284,000 56,065,639,000 41,672,233,000 41,077,069,000 35,803,984,000 35,803,984,000 37,856,245,000 34,138,564,000  31,705,893,000      25,471,468,000    28,988,976,000                                      
        total current liabilities
      259,553 248,970 267,742 234,423,716,000 235,682 230,120 229,043 230,940 225,674,029,000 241,511 225,765 7,840,836,000 234,359,000,000 222,348 229,325,468,000 273,747,000,000 222,261,000,000 217,245,341,000 154,300,302,000 108,376,737,000 104,355,032,000 106,969,574,000 106,969,574,000 120,004,609,000 122,696,309,000  100,756,588,000    106,602,000,000 104,119,000,000 88,177,682,000  88,178,000,000  102,059,797,000   89,323,000,000  42,712,691,000   83,895,000,000 79,140,000,000  70,815,000,000 66,761,000,000  76,430,000,000  72,693,000,000    68,000,000,000 61,348,000,000  67,648,000,000 64,039,000,000 18,104,951,000 62,285,000,000      17,576,153,000 28,330,000,000     
        bonds payable
      17,370 16,668 21,066 17,978,188,000 17,073 21,976 31,618 17,978 20,489,434,000 23,589 33,462 30,081,461,000 38,837,000,000 20,489 42,851,353,000 40,534,000,000 42,851,000,000 42,364,627,000 36,272,155,000 16,981,583,000 16,980,485,000 27,341,557,000 27,341,557,000 26,871,735,000 23,740,384,000  31,092,655,000    30,194,000,000 20,781,000,000 20,975,751,000    20,582,567,000     7,823,571,000                                 
        long-term borrowings3
      201,577 162,326        94,322                                                                 
        other liabilities
      24,591 22,276 23,638  22,748 22,950 24,051 24,243  26,026 25,653  25,766,000,000 24,263  28,625,000,000 27,083,000,000              8,994,000,000 8,884,000,000   8,653,000,000     8,008,000,000     4,848,000,000 4,543,000,000  4,548,000,000 4,667,000,000  4,135,000,000  4,205,000,000    4,195,000,000 4,270,000,000  4,195,000,000 4,116,000,000  3,991,000,000       3,007,000,000     
        total liabilities
      503,091 450,240 439,154 398,789,156,000 383,506 359,460 369,301 394,911 352,165,037,000 385,448 375,104 51,503,064,000 385,714,000,000 348,465 394,313,457,000 432,179,000,000 387,143,000,000 405,094,839,000 344,421,394,000 162,612,085,000 163,998,895,000 191,089,411,000 191,089,411,000 201,017,696,000 199,061,912,000  165,841,461,000    168,616,000,000 160,724,000,000 146,819,985,000  146,820,000,000  160,978,071,000   142,505,000,000  79,485,676,000  136,212,511 133,303,000,000 127,254,000,000  120,404,000,000 121,595,000,000 123,473,471 131,593,000,000  113,950,000,000    116,047,000,000 118,660,000,000  129,998,000,000 118,971,000,000 61,727,288,000 122,358,000,000      34,832,141,000 63,502,000,000     
        equity attributable to shareholders of the parent
      317,043 293,770 311,522  309,399 302,348 290,996 323,523  295,611 278,624  270,651,000,000 297,826  288,361,000,000 301,285,000,000                           103,337,388      95,334,374                         
        non-controlling interests
      22,510 21,165 23,501 22,244,661,000 21,654 21,122 21,173 22,264 20,270,547,000 20,025 18,793  19,075,000,000 20,284 18,608,124,000 17,289,000,000 18,640,000,000 14,544,415,000 13,374,912,000 13,190,129,000 12,790,820,000 11,983,968,000 11,983,968,000 11,057,567,000 11,492,545,000  8,318,741,000      4,324,205,000    4,128,361,000                                      
        total liabilities & shareholders’ equity
      842,644 765,175 774,177  714,559 682,930 681,470 740,698  701,084 672,521  675,440,000,000 666,575  737,829,000,000 707,068,000,000              304,727,000,000 287,600,000,000   279,821,000,000     255,225,000,000     241,972,000,000 233,647,000,000  227,010,000,000 223,878,000,000  233,701,000,000  210,102,000,000    213,450,000,000 213,154,000,000  222,561,000,000 210,049,000,000  209,798,000,000       143,568,000,000     
        current ratio
      1.13 1.02 1.04  1.18 1.17 1.19 1.19  1.21 1.2  1,160,000 1.18  1,220,000 1,350,000              1,250,000 1,230,000   1,440,000     1,140,000     1,140,000 1,160,000  1,330,000 1,350,000  1,320,000  1,150,000    1,320,000 1,440,000  1,430,000 1,420,000  1,610,000       1,720,000     
        net debt to equity ratio
      0.63 0.52 0.41  0.41 0.34 0.36 0.37  0.47 0.41  420,000 0.38  530,000 430,000                                                          
        8
                                                                                
        cash flows from operating activities:
                                                                                
        profit before income tax
           10,117    12,252                                                                 
        depreciation & amortization
           14,801    14,568                                                                 
        other operating activities items
           -8,132    -5,940                                                                 
        net cash generated from operating activities
           16,786    20,880                                                                 
        cash flows from investing activities:
                                                                                
        net payments for property, plant and equipment
           -14,786    -14,471                                                                 
        other investment activities items
           304    -152                                                                 
        net cash from investing activities
           -14,482    -14,623                                                                 
        cash flows from financing activities:
                                                                                
        total net proceeds from (repayment of) borrowings and bonds
               28,640                                                                 
        other financing activities items
           -1,093    -38                                                                 
        net cash generated from (used in) financing activities
                                                                                
        foreign currency exchange effect
           2,179    6,444                                                                 
        net increase in cash and cash equivalents
           -8,932    3,462                                                                 
        cash and cash equivalents at the beginning of period
           75,105    59,351                                                                 
        cash and cash equivalents at the end of period
           66,173    62,813                                                                 
        financial assets – non-current & investments – equity -method
        41,428  42,300  30,776 41,810                                                                   
        current portion of bonds payable & current portion of long-term borrowings
        20,774  23,531 18,655 14,075 18,883  24,219 18,191  11,999,000,000 28,616  8,157,000,000 10,041,000,000                                                          
        long-term borrowings
        126,708 121,750,192,000 108,003 84,414 84,589 121,750 81,364,448,000   13,574,743,000   94,947,610,000   117,164,876,000 135,965,830,000 27,145,003,000 32,525,043,000 46,547,998,000 46,547,998,000 43,941,187,000 42,493,668,000  24,750,020,000      29,008,600,000    29,580,659,000                                      
        income before tax
                                  906,000,000 1,338,000,000 1,016,000,000 830,000,000   888,000,000 1,017,000,000  787,000,000  562,000,000   1,118,000,000                                
        net proceeds from (repayment of) borrowings and bonds
                                                                                
        assets
                                                                                
        financial assets at fair value through profit or loss - current
         8,390,606,000     4,084,715,000      6,825,157,000   2,933,446,000         4,530,291,000       302,273,000   2,764,269,000    9,070,000 9,070,000     471,383,000       72,586,000 1,150,284,000 72,586,000      15,747,000  1,024,711,000  537,480,000         
        contract assets - current
         5,640,317,000     5,100,076,000      5,731,173,000   5,607,209,000 5,897,316,000                                                        
        other receivables
         2,895,495,000     15,611,917,000      16,270,569,000   13,732,607,000 1,293,819,000 1,051,955,000 4,703,637,000 665,480,000 665,480,000 936,417,000 429,541,000 1,414,007,000 515,914,000 1,414,007,000     616,417,000 962,907,000   422,345,000  437,013,000  1,188,383,000 1,188,383,000     811,196,000     1,345,754,000  714,388,000 1,549,725,000 714,388,000   1,590,006,000   423,015,000  763,679,000 287,072,000 619,033,000 434,702,000 936,466,000 618,430,000  915,390,000 3,157,876,000 3,857,053,000  
        current tax assets
         731,828,000     905,345,000      748,519,000   542,180,000 553,092,000 260,542,000 242,856,000 471,752,000 471,752,000 275,770,000 168,717,000  95,998,000      187,271,000    150,596,000  169,158,000                                    
        inventories related to real estate business
         3,866,994,000     3,668,476,000      5,488,676,000   5,412,114,000 11,416,726,000   24,187,515,000     24,154,597,000      20,773,954,000    18,589,255,000                                      
        other financial assets - current
         985,925,000     598,136,000      734,465,000   140,857,000 765,834,000 472,340,000 569,419,000 558,686,000 558,686,000 1,047,303,000 301,999,000  653,430,000      300,331,000    278,375,000                                      
        other current assets
         5,547,339,000     4,959,034,000   63,884,000   4,543,797,000   4,620,779,000 4,983,667,000 2,482,010,000 2,905,274,000 2,593,575,000 2,593,575,000 2,778,234,000 2,814,053,000 508,010,000 2,802,354,000 508,010,000     3,046,023,000 303,545,000   3,051,492,000  3,154,266,000  329,312,000 329,312,000     286,629,000     3,353,192,000  194,779,000 2,095,763,000 194,779,000   1,813,553,000   242,226,000  1,440,067,000 100,875,000 860,258,000  996,948,000       
        non-current assets
                                                                                
        financial assets at fair value through profit or loss - non-current
         2,441,436,000     2,543,975,000         2,502,834,000 1,161,430,000                                                        
        financial assets at fair value through other comprehensive income - non-current
         13,959,493,000     1,663,737,000         2,019,812,000 1,770,775,000                                                        
        investments accounted for using the equity method
         20,423,340,000     19,610,611,000   352,276,349,000   14,679,346,000   16,996,600,000 12,085,207,000       139,054,506,000 1,589,231,000 139,054,506,000     1,474,698,000 118,011,718,000   1,205,158,000                                      
        investment properties
         20,055,044,000     20,169,116,000      21,729,092,000   22,144,787,000 12,854,071,000 8,119,436,000 8,051,721,000                                                      
        goodwill
         52,525,342,000     52,404,416,000      52,313,399,000   52,072,413,000 50,198,436,000 9,934,494,000 10,388,715,000 10,558,878,000 10,558,878,000 10,512,448,000 10,506,519,000 958,620,000 10,426,821,000 958,620,000     10,382,862,000 958,620,000   10,347,820,000  10,357,912,000  957,167,000 957,167,000     957,167,000     10,272,620,000  957,167,000 10,423,662,000 957,167,000   10,408,023,000   957,167,000  9,419,005,000 957,167,000 9,456,091,000 957,167,000 3,188,117,000 957,167,000  2,831,274,000 1,380,830,000 2,843,022,000 1,541,703,000 
        other intangible assets
         15,692,350,000     17,820,133,000   23,024,000   21,177,708,000   24,563,707,000 29,024,392,000 1,406,865,000 1,441,418,000 1,560,989,000 1,560,989,000 1,704,669,000 1,382,093,000 486,192,000 1,487,676,000 486,192,000     1,563,584,000 393,759,000   1,605,824,000    231,173,000 231,173,000          2,318,915,000   2,492,195,000    2,666,190,000     783,839,000  867,079,000         
        deferred tax assets
         7,175,371,000     6,395,595,000      6,341,772,000   5,369,010,000 4,707,704,000 4,001,821,000 3,954,752,000 4,536,924,000 4,536,924,000 5,236,508,000 5,156,515,000 1,020,403,000 4,612,250,000 1,020,403,000     3,972,035,000 1,019,230,000   3,684,702,000  3,609,599,000                                    
        other financial assets - non-current
         4,691,997,000     5,564,331,000      4,444,059,000   1,416,123,000 559,493,000  1,165,254,000 1,320,381,000 1,320,381,000 1,355,254,000 345,672,000 215,784,000 364,520,000 215,784,000     342,843,000 214,803,000   354,993,000                                      
        other non-current assets
         4,428,052,000     3,141,985,000   7,160,000   3,590,576,000   3,275,073,000 975,532,000 454,391,000 351,836,000 205,740,000 205,740,000 238,979,000 263,416,000 131,181,000 941,817,000 131,181,000     896,884,000 72,761,000   637,163,000  828,521,000                                    
        total non-current assets
         465,774,983,000     405,568,187,000   352,306,533,000   407,222,618,000   380,908,171,000 355,222,588,000 218,984,000,000 220,183,429,000 215,161,517,000 215,161,517,000 217,316,690,000 208,535,409,000 220,245,707,000  220,245,707,000     152,678,823,000 184,404,761,000   154,545,601,000  153,753,634,000                                    
        total
         741,060,069,000     666,915,692,000   352,788,312,000   707,589,842,000   673,265,899,000 557,223,706,000 363,922,272,000 360,095,657,000 357,951,176,000 357,951,176,000 360,685,886,000 365,268,249,000 261,728,725,000 322,489,532,000 261,728,725,000     279,821,001,000 221,413,811,000   286,722,083,000  255,225,179,000  189,000,561,000 189,000,561,000     171,078,607,000     210,102,340,000  161,626,460,000 213,449,709,000 161,626,460,000   208,139,765,000   133,343,314,000  162,060,896,000 123,931,246,000 152,189,987,000 102,045,382,000 152,377,450,000 100,852,040,000  137,040,876,000 97,806,132,000 131,254,660,000 100,260,251,000 
        liabilities and equity
                           2,016,000                                                     
        short-term borrowings
         34,988,758,000     37,737,217,000  37,798  45,158,000,000  34,526,510,000 78,056,000,000 46,731,000,000 34,319,464,000 37,339,028,000 17,962,471,000 19,638,390,000 20,955,522,000 20,955,522,000 31,008,127,000 32,635,321,000  36,660,840,000    38,672,000,000 33,281,000,000 33,853,530,000    44,618,195,000     5,510,723,000                                 
        short-term bills payable
              2,787,340,000               1,999,342,000 4,348,054,000                                                  
        financial liabilities at fair value through profit or loss - current
         324,278,000     1,302,342,000      626,760,000   417,660,000 973,571,000        3,701,350,000          1,853,304,000     350,654,000                    61,195,000             
        financial liabilities for hedging - current
         12,456,104,000     12,516,971,000      12,204,620,000   6,716,965,000 3,233,301,000                                                        
        other payables
         63,179,235,000     44,242,885,000   626,642,000   57,115,100,000   46,696,900,000 39,181,690,000 21,377,887,000 19,389,996,000 21,522,034,000 21,522,034,000 19,875,189,000 19,194,818,000  19,935,228,000      15,840,371,000    14,758,553,000     746,456,000                    207,070,000             
        current tax liabilities
         8,888,506,000     9,667,755,000   131,815,000   18,360,792,000   16,362,350,000 4,858,578,000 7,619,328,000 6,060,926,000 6,846,350,000 6,846,350,000 5,622,933,000 6,746,022,000  4,552,116,000      3,282,799,000    4,225,390,000                                      
        lease liabilities - current
         986,489,000     1,062,239,000      979,612,000   809,536,000 632,802,000                                                        
        current portion of bonds payable
         14,997,976,000     24,520,052,000   2,998,981,000   4,998,971,000   9,902,710,000 250,000,000 6,161,197,000 6,136,891,000 9,658,346,000 9,658,346,000 9,384,865,000 14,685,866,000       728,000,000 741,695,000    731,438,000                                3,798,233,000      
        current portion of long-term borrowings
         3,884,906,000     4,096,255,000      5,041,841,000   4,526,683,000 5,112,768,000   6,567,565,000     1,147,234,000      5,032,977,000    5,276,206,000                                      
        other current liabilities
         16,496,364,000     17,411,904,000   3,197,000   16,473,962,000   13,022,789,000 6,652,925,000 4,644,566,000 4,407,842,000 3,791,563,000 3,791,563,000 3,500,698,000 3,180,767,000  2,190,160,000      1,540,386,000    1,585,177,000     225,248,000                    292,383,000             
        non-current liabilities
                                                                                
        financial liabilities at fair value through profit or loss - non-current
         508,591,000                                                                       
        deferred tax liabilities
         6,850,104,000     7,598,008,000      8,585,132,000   7,590,197,000 5,772,237,000 4,961,487,000 4,900,453,000 4,856,549,000 4,856,549,000 4,815,903,000 4,987,549,000  4,021,104,000      2,968,402,000    2,663,767,000                                      
        lease liabilities - non-current
         6,825,534,000     7,159,767,000      6,728,875,000   6,590,348,000 5,176,123,000                                                        
        net defined benefit liabilities
         3,396,161,000     4,122,158,000      4,325,492,000   5,864,071,000 5,254,401,000 3,936,685,000 4,061,747,000 4,172,253,000 4,172,253,000 4,181,619,000 4,072,493,000  4,413,761,000                                                
        other non-current liabilities
         7,056,670,000     5,757,193,000   6,024,000   7,549,527,000   3,494,448,000 1,680,346,000 1,210,590,000 1,176,135,000 1,201,480,000 1,201,480,000 1,202,643,000 1,071,509,000  807,333,000      617,384,000    651,171,000                                      
        total non-current liabilities
         164,365,440,000     126,491,008,000   43,662,228,000   164,987,989,000   187,849,498,000 190,121,092,000 54,235,348,000 59,643,863,000 84,119,837,000 84,119,837,000 81,013,087,000 76,365,603,000  65,084,873,000      58,642,303,000    58,918,274,000                                      
        equity attributable to owners of the company
         320,026,252,000     294,480,108,000      294,668,261,000   253,626,645,000 199,427,400,000 188,120,058,000 183,305,942,000 154,877,797,000 154,877,797,000 148,610,623,000 154,713,792,000  148,329,330,000      128,676,811,000    121,615,651,000                                      
        share capital
                           79,568,040,000 79,568,040,000 79,509,050,000 79,185,660,000  79,187,950,000      78,337,123,000    78,180,258,000                                      
        ordinary shares
         44,120,643,000     43,801,992,000   43,642,185,000   43,642,185,000   44,034,146,000 43,254,026,000 87,246,194,000 83,804,781,000                                                      
        shares subscribed in advance
         31,862,000     52,656,000   37,656,000   37,656,000   52,356,000 51,261,000 134,593,000 3,450,278,000                                                      
        share capital awaiting canceled
                                                                                
        total share capital
         44,152,505,000     43,854,498,000   43,679,841,000   43,679,841,000   44,086,502,000 43,305,287,000 87,380,787,000 87,255,059,000                                                      
        capital surplus
         148,717,262,000     144,272,626,000   142,686,356,000   142,607,490,000   143,693,168,000 138,910,363,000 40,624,328,000 40,348,725,000 22,266,500,000 22,266,500,000 22,463,403,000 23,758,550,000  16,094,169,000      8,231,976,000    7,921,375,000                                      
        retained earnings
                                               26,969,183,000                    13,229,409,000       16,985,043,000      
        legal reserve
         21,817,390,000     18,584,524,000   12,582,960,000   12,582,960,000   6,300,198,000 2,203,895,000 16,765,066,000 16,765,066,000 14,597,032,000 14,597,032,000 14,597,032,000 12,649,145,000  10,289,878,000      8,720,971,000    8,720,971,000                                      
        special reserve
         2,791,960,000     2,959,573,000   10,367,052,000   10,367,052,000   9,569,027,000 6,902,782,000 3,353,938,000 3,353,938,000 3,353,938,000 3,353,938,000 3,353,938,000 3,353,938,000  3,353,938,000      3,663,930,000    3,663,930,000                                      
        unappropriated earnings
         96,640,231,000     89,980,210,000   97,882,542,000   91,556,474,000   69,712,555,000 21,029,962,000 53,599,541,000 48,020,280,000 44,225,737,000 44,225,737,000 37,636,002,000 37,978,222,000  43,206,623,000      30,046,125,000    25,190,778,000                                      
        total retained earnings
         121,249,581,000     111,524,307,000   120,832,554,000   114,506,486,000   85,581,780,000 30,136,639,000 73,718,545,000 68,139,284,000 62,176,707,000 62,176,707,000 55,586,972,000 53,981,305,000  56,850,439,000      42,431,026,000    37,575,679,000                                      
        other equity
         7,866,011,000     -3,212,216,000   -3,954,396,000   -4,166,449,000   -12,246,443,000 -10,965,782,000 -6,311,089,000  -1,840,937,000 -1,840,937,000 -1,656,289,000 5,080,790,000  3,489,285,000      1,635,793,000    -102,554,000                                      
        treasury shares
         -1,959,107,000     -1,959,107,000   -1,959,107,000   -1,959,107,000   -7,488,362,000 -1,959,107,000 -7,292,513,000 -7,292,513,000 -7,292,513,000 -7,292,513,000 -7,292,513,000 -7,292,513,000  -7,292,513,000      -1,959,107,000    -1,959,107,000                                      
        total equity
         342,270,913,000     314,750,655,000   301,285,248,000   313,276,385,000   268,171,060,000 212,802,312,000 201,310,187,000 196,096,762,000 166,861,765,000 166,861,765,000 159,668,190,000 166,206,337,000  156,648,071,000      133,001,016,000    125,744,012,000                                      
        short-term borrowings4
          56,726 51,065                                                                     
        cash flows from operating activities
                                                                                
        cash flows from investing activities
                                                                                
        cash flows from financing activities
                                                                                
        dividends paid
               -37,841                                                                 
        cash and cash equivalents in the consolidated balance sheet
           66,173    62,812                                                                 
        cash and cash equivalents included in disposal groups held for sale
                                                                               
        financial assets – non-current & investments – equity - method
           30,887                                                                     
        total net repayment of borrowings
           -12,322                                                                     
        net cash from financing activities
           -13,415    -9,239                                                                 
        short-term borrowings2
            56,863   69,639                                                                 
        net repayment of loans
                                                                                
        short-term borrowings5
             47,445                                                                   
        share capital awaiting retirement
              -150,000                                                                  
        financial assets – non-current & investments – equity method
               28,402 26,761  24,352,000,000 29,698  22,926,000,000 22,909,000,000                                                          
        long-term borrowings2
                90,224  86,752,000,000 81,365  89,273,000,000 94,948,000,000                                                          
        total net proceeds from (repayment of) borrowings
                                                                                
        cash
                 120,569,000              11,254,517,000  11,254,517,000      14,959,268,000       1,694,430,000 1,694,430,000     1,475,629,000       1,632,102,000  1,632,102,000      4,079,270,000   3,133,212,000  4,229,840,000 17,157,935,000 4,517,626,000  15,730,075,000 4,913,923,000  2,967,634,000 
        other receivables to related parties
                 297,326,000                                                               
        other payables to related parties
                 4,080,201,000                              19,046,515,000                    5,875,663,000             
        equity
                                                                                
        short-term borrowings1
                   53,042                                                             
        financial assets at fair value through profit or loss—non-current
                    2,108,994,000                                                            
        financial assets at fair value through other comprehensive income—non-current
                    1,542,271,000                                                            
        financial liabilities for hedging - non-current
                       4,780,931,000                                                         
        notes and accounts receivable
                     140,178,000,000 114,647,000,000              48,495,000,000 41,115,000,000   37,857,000,000     34,914,000,000     33,410,000,000 31,619,000,000  29,237,000,000 30,476,000,000  33,994,000,000  33,060,000,000    33,099,000,000 34,121,000,000  36,329,000,000 34,309,000,000  33,396,000,000       12,401,000,000     
        notes and accounts payable
                     104,286,000,000 78,997,000,000              34,882,000,000 26,702,000,000   25,471,000,000     22,403,000,000     22,682,000,000 21,855,000,000  19,531,000,000 21,192,000,000  24,082,000,000  22,538,000,000    23,727,000,000 25,340,000,000  24,997,000,000 24,896,000,000  23,787,000,000       7,553,000,000     
        financial assets at fair value through profit
                                                                                
        or loss - current
                        4,127,566,000                                                        
        long-term prepayments for lease
                         8,851,330,000 7,809,515,000 2,237,033,000 2,237,033,000 2,382,424,000 2,556,156,000 195,879,000 2,519,823,000 195,879,000     2,489,578,000 19,141,000   4,072,281,000                                      
        financial assets at fair value through profit or loss -
                                                                                
        current
                         5,223,067,000 3,339,900,000 3,069,812,000 3,069,812,000 813,831,000 3,833,701,000 1,990,183,000  1,990,183,000           74,988,000                                    
        available-for-sale financial assets - current (notes 4
                                                                                
        and 8)
                         89,159,000 80,239,000  266,696,000 70,092,000 30,344,000                                                  
        inventories related to real estate business (notes 4,
                                                                                
        11, 24 and 36)
                         9,819,516,000                                                       
        available-for-sale financial assets - non-current
                           1,028,338,000    542,147,000 885,778,000 542,147,000     1,133,960,000 592,557,000   1,140,329,000                                      
        investments accounted for using the equity
                                                                                
        method
                         48,753,751,000 48,926,273,000 49,832,993,000 49,832,993,000 49,573,614,000 37,403,601,000                                                  
        property, plant and equipment (notes 4, 14, 24
                                                                                
        and 37)
                         135,168,406,000 136,981,981,000                                                      
        other financial assets - non-current (notes 4, 12
                                                                                
        and 36)
                         1,170,500,000 6,839,993,000                                                      
        financial liabilities at fair value through profit or
                                                                                
        loss - current
                         677,430,000 803,925,000 1,763,660,000 1,763,660,000 3,953,520,000 3,005,726,000                                                  
        current portion of long-term borrowings (notes 19
                                                                                
        equity attributable to owners of the
                                                                                
        company
                                                                                
        inventories related to real estate business (notes 4, 11
                                                                                
        24 and 36)
                          10,494,092,000                                                      
        property, plant and equipment (notes 4, 14, 24,
                                                                                
        accumulated other comprehensive income
                          -5,144,613,000                                                      
        available-for-sale financial assets - current
                           266,696,000    400,007,000 979,247,000 400,007,000     1,922,038,000 2,312,147,000   2,376,970,000          20,152,000     65,427,000   129,223,000    338,094,000     3,995,524,000  279,812,000         
        advance real estate receipts
                           60,550,000 60,550,000 530,873,000 2,703,706,000  863,767,000          19,248,000                                      
        11, 23 and 34)
                            24,187,515,000 24,141,398,000                                                   
        property, plant and equipment (notes 4, 14, 23,
                                                                                
        and 35)
                            143,880,241,000 145,208,855,000               435,864,000                                    
        current portion of long-term borrowings (notes 18
                                                                                
        and 34)
                            6,567,565,000 6,272,817,000                                                   
        inventories related to real estate business (notes 4, 5,
                                                                                
        property, plant and equipment (notes 4, 5, 14, 23,
                                                                                
        11, 22 and 33)
                              25,713,538,000                                                  
        property, plant and equipment (notes 4, 5, 13, 22,
                                                                                
        32 and 34)
                              149,997,075,000                                                  
        current portion of long-term borrowings (notes 17
                                                                                
        and 33)
                              2,057,465,000                                                  
        trade receivables from related parties
                               5,082,423,000  5,082,423,000      2,418,651,000                                         
        other receivables from related parties
                               36,699,000  36,699,000      46,202,000       253,262,000 253,262,000     305,919,000       1,080,395,000  1,080,395,000      613,854,000  463,068,000 173,510,000  603,980,000  380,791,000   291,934,000   
        non - current assets
                                                                                
        derivative financial liabilities for hedging - current
                                      515,000    3,310,000                                      
        long-term payables
                                      548,460,000    894,150,000                                      
        net revenues:
                                                                                
        total net revenues
                                  28,344,000,000 37,220,000,000 26,766,000,000 20,509,000,000   21,376,000,000 28,420,000,000  19,551,000,000  14,186,000,000   20,141,000,000                                
        cost of revenues
                                  -26,079,000,000 -34,292,000,000 -24,477,000,000 -18,468,000,000   -19,319,000,000 -26,231,000,000  -17,662,000,000  -12,573,000,000   -17,963,000,000                                
        gross profit
                                  2,265,000,000 2,928,000,000 2,289,000,000 2,041,000,000   2,057,000,000 2,189,000,000  1,889,000,000  1,613,000,000   2,178,000,000                                
        operating expenses:
                                                                                
        research and development
                                  -661,000,000 -658,000,000 -561,000,000 -535,000,000   -481,000,000 -492,000,000  -476,000,000  -473,000,000   -446,000,000                                
        selling, general and administrative
                                  -914,000,000 -1,046,000,000 -822,000,000 -814,000,000   -743,000,000 -739,000,000  -735,000,000  -623,000,000   -756,000,000                                
        total operating expenses
                                  -1,575,000,000 -1,704,000,000 -1,383,000,000 -1,349,000,000   -1,224,000,000 -1,231,000,000  -1,211,000,000  -1,096,000,000   -1,202,000,000                                
        operating income
                                  690,000,000 1,224,000,000 906,000,000 692,000,000   833,000,000 958,000,000  678,000,000  517,000,000   976,000,000                                
        net non-operating (expenses) income:
                                                                                
        total non-operating income
                                  216,000,000 114,000,000 110,000,000 138,000,000   55,000,000 59,000,000  109,000,000  45,000,000                                   
        income tax expense
                                  -156,000,000 -139,000,000 -138,000,000 -178,000,000   -165,000,000 -26,000,000  -100,000,000  -51,000,000                                   
        income from continuing operations and before noncontrolling interest
                                  750,000,000 1,199,000,000 878,000,000 652,000,000   723,000,000 991,000,000  687,000,000  511,000,000                                   
        noncontrolling interest
                                  -130,000,000 -158,000,000 -93,000,000 -105,000,000   -90,000,000 -93,000,000  -72,000,000  -54,000,000                                   
        net income attributable to shareholders of the parent
                                  620,000,000 1,041,000,000 785,000,000 547,000,000   633,000,000 898,000,000  615,000,000  457,000,000                                   
        current assets:
                                                                                
        financial assets – non current & investments – equity method
                                    2,475,000,000 2,574,000,000                                           
        property plant and equipment
                                    148,998,000,000 135,555,000,000   130,422,000,000     130,265,000,000                                   
        prepaid lease payments
                                    2,496,000,000 2,547,000,000   2,490,000,000     4,228,000,000                                   
        current liabilities:
                                                                                
        current portion of long-term borrowings & capital lease obligations
                                    3,226,000,000 5,316,000,000                                           
        long-term borrowings & capital lease obligations
                                    22,826,000,000 26,940,000,000                                           
        shareholders of the parent
                                    131,488,000,000 122,555,000,000   128,677,000,000     108,905,000,000                                   
        net debt to equity
                                    430,000 330,000   310,000     470,000     560,000 490,000  440,000 500,000  520,000  470,000    440,000 480,000  550,000 440,000  430,000       190,000     
        financial assets – non current & investments – equity mothod
                                                                                
        financial assets at fair value through profit or loss - current (notes 4, 5
                                                                                
        and 7)
                                      3,366,614,000      4,483,995,000                                    
        debt investments with no active market - current
                                                                                
        financial liabilities at fair value through profit or loss - current (notes
                                                                                
        4, 5 and 7)
                                      2,413,941,000                                          
        accrued pension liabilities
                                      4,523,706,000    4,545,960,000                                      
        investments – non current
                                        2,609,000,000     2,325,000,000                                   
        short-term debts – revolving credit
                                        33,854,000,000     35,914,000,000     36,910,000,000 28,145,000,000  29,390,000,000 22,965,000,000  31,334,000,000  26,026,000,000    22,191,000,000 14,738,000,000  19,116,000,000 15,494,000,000  20,797,000,000       5,477,000,000     
        current portion of long-term debts
                                        5,782,000,000     2,494,000,000     2,961,000,000 3,983,000,000  3,795,000,000 3,461,000,000  3,542,000,000  2,455,000,000    5,348,000,000 3,136,000,000  3,239,000,000 2,136,000,000  1,438,000,000            
        long-term debts
                                        49,989,000,000     45,174,000,000     44,560,000,000 43,571,000,000  45,041,000,000 50,167,000,000  51,028,000,000  37,052,000,000    43,852,000,000 53,042,000,000  58,155,000,000 50,816,000,000  56,082,000,000       23,957,000,000     
        derivative financial liabilities for hedging - non-current
                                                                                
        financial assets at fair value through
                                                                                
        profit or loss - current (notes 4, 5
                                                                                
        available-for-sale financial assets -
                                                                                
        held-to-maturity financial assets -
                                                                                
        derivative financial assets for hedging -
                                                                                
        debt investments with no active market -
                                                                                
        inventories related to real estate
                                                                                
        business
                                            17,593,489,000                                    
        other financial assets - current (notes 4
                                                                                
        non-current
                                            1,223,004,000                                    
        investments accounted for using the
                                                                                
        equity method
                                            1,101,696,000                                    
        property, plant and equipment (notes 4,
                                                                                
        15, 24, 35 and 36)
                                            130,265,390,000                                    
        other intangible assets (notes 4, 5, 17
                                                                                
        and 24)
                                            1,800,810,000                                    
        long-term prepayments for lease (notes 18
                                                                                
        accounts receivable
                                              10,685,080,000 10,685,080,000     9,729,994,000     33,059,540,000  9,587,062,000 33,098,643,000 9,587,062,000   32,870,448,000   9,331,438,000  17,811,541,000 4,842,944,000 11,388,105,000 9,699,366,000 18,685,052,000 5,777,899,000  11,344,961,000 8,852,651,000 15,501,680,000 6,932,478,000 
        accounts receivable from related parties
                                              52,117,000 52,117,000     62,371,000       99,534,000  99,534,000             26,950,000   264,863,000   
        deferred income tax assets - current
                                              397,233,000 397,233,000     691,776,000     901,105,000  461,417,000 869,412,000 461,417,000   919,261,000   700,357,000  893,622,000 700,690,000 1,085,448,000         
        long-term investments
                                               5,690,964,000  1,250,770      1,185,581                         
        available-for-sale financial assets - noncurrent
                                              67,146,000 67,146,000     4,675,000     271,035,000  102,790,000 225,117,000 102,790,000   310,426,000                
        financial assets carried at cost - noncurrent
                                              384,161,000 384,161,000     380,680,000     880,038,000  364,551,000 857,930,000 364,551,000   843,740,000   467,468,000  692,059,000 362,554,000 575,495,000         
        equity method investments
                                              110,439,978,000 110,439,978,000     106,233,823,000     1,505,908,000  101,116,457,000 1,278,163,000 101,116,457,000   1,158,498,000   79,873,491,000  4,371,841,000 77,144,106,000 3,751,543,000 41,064,011,000 4,325,119,000 36,856,450,000  4,088,949,000    
        total long-term investments
                                              110,891,285,000 110,891,285,000     106,619,178,000     2,743,156,000  101,583,798,000 2,449,464,000 101,583,798,000   2,400,084,000   80,340,959,000  5,159,990,000 77,506,660,000 4,327,038,000 41,402,013,000 4,850,144,000 37,263,526,000  5,734,546,000 29,921,999,000 4,898,057,000 27,221,171,000 
        cost
                                                                                
        land
                                              1,558,201,000 1,558,201,000     1,558,201,000     3,066,432,000  1,558,201,000 3,074,699,000 1,558,201,000   3,065,169,000   1,558,201,000  2,374,530,000 1,558,201,000 2,395,951,000 1,558,201,000 2,287,739,000 1,558,201,000  2,284,577,000 1,558,201,000 2,255,006,000 1,558,201,000 
        buildings and improvements
                                              25,838,129,000 25,838,129,000     21,964,804,000     52,043,552,000  20,100,741,000 51,388,668,000 20,100,741,000   50,322,341,000   18,278,699,000  41,186,763,000 17,502,360,000 39,763,199,000 16,259,330,000 36,355,071,000 15,971,310,000  30,508,824,000 14,239,471,000 22,996,143,000 14,305,267,000 
        machinery and equipment
                                              83,244,505,000 83,244,505,000     71,586,364,000     162,669,407,000  63,587,917,000 161,370,907,000 63,587,917,000   157,001,044,000   54,595,445,000  131,206,473,000 51,866,609,000 129,424,251,000 49,260,974,000 113,204,238,000 49,219,337,000  100,838,100,000 47,931,028,000 94,978,913,000 48,313,662,000 
        transportation equipment
                                              69,066,000 69,066,000     68,522,000     260,423,000  63,102,000 260,494,000 63,102,000   247,876,000   66,613,000  201,003,000 74,665,000 212,956,000 70,995,000 192,330,000 62,872,000  165,665,000 68,511,000 147,802,000 64,959,000 
        furniture and fixtures
                                              956,306,000 956,306,000     876,756,000     5,010,657,000  846,113,000 4,910,189,000 846,113,000   5,097,742,000   968,773,000  3,800,859,000 937,561,000 3,765,175,000 985,565,000 3,250,435,000 970,152,000  2,951,547,000 974,867,000 2,613,573,000 922,873,000 
        leased assets
                                                    1,351,000       17,221,000  17,221,000      39,825,000   67,830,000  204,651,000  244,426,000   1,469,962,000  3,075,162,000 
        total cost
                                              111,666,207,000 111,666,207,000     96,055,998,000     223,517,727,000  86,173,295,000 221,431,563,000 86,173,295,000   216,170,812,000   75,507,556,000  179,112,832,000 72,007,226,000 175,951,741,000 68,339,716,000 155,861,753,000 68,026,298,000  137,791,602,000 66,242,040,000 123,623,145,000 68,240,124,000 
        less: accumulated depreciation
                                              57,687,418,000 57,687,418,000     54,635,664,000     -128,134,841,000   -126,896,555,000    -122,437,240,000     -109,231,262,000  -98,560,461,000        31,687,330,000 
        accumulated impairment
                                              188,631,000 188,631,000     44,146,000       64,072,000  64,072,000                   
        construction in progress
                                              512,657,000 512,657,000     765,382,000     2,455,529,000  465,003,000 2,130,954,000 465,003,000   1,773,002,000   128,315,000  4,167,279,000 514,507,000 4,989,149,000 416,092,000 3,442,925,000 719,429,000  3,678,333,000 1,490,478,000 3,419,828,000 2,157,508,000 
        machinery in transit and prepayments
                                              2,931,050,000 2,931,050,000     2,755,995,000     6,862,839,000  1,703,819,000 4,643,253,000 1,703,819,000   4,538,548,000   3,239,679,000  5,320,412,000 669,875,000 2,390,546,000 1,549,621,000 6,964,269,000 774,057,000  3,682,071,000 1,522,972,000 3,713,885,000 8,487,020,000 
        total property, plant and equipment
                                              57,233,865,000 57,233,865,000     44,897,565,000       38,809,576,000  38,809,576,000      30,383,071,000   29,296,724,000          
        deferred pension cost
                                              34,417,000 34,417,000     37,655,000       44,024,000  44,024,000      50,393,000  58,450,000 56,762,000 73,793,000  52,058,000       
        total intangible assets
                                              1,222,757,000 1,222,757,000     1,023,803,000     14,828,553,000  1,044,022,000 15,122,396,000 1,044,022,000   15,248,120,000   1,069,754,000  12,232,698,000 1,095,651,000 12,592,049,000 997,267,000 4,732,334,000 961,248,000  3,435,677,000  3,589,109,000  
        other assets
                                                 2,754,776      2,472,118                    10,239,000,000     
        assets leased to others
                                              1,035,628,000 1,035,628,000     661,672,000       1,806,424,000  1,806,424,000   20,889,000   2,439,452,000  586,067,000 2,766,268,000  3,274,956,000        
        idle assets
                                              4,744,000 4,744,000     4,744,000     1,184,308,000  4,744,000 1,209,946,000 4,744,000   1,249,047,000   86,062,000  361,835,000  361,388,000  751,974,000       
        guarantee deposits
                                              23,446,000 23,446,000     15,147,000                    2,219,000 332,717,000 210,227,000  314,489,000 159,659,000 223,592,000 321,498,000 
        deferred charges
                                              206,765,000 206,765,000     499,394,000     1,190,673,000  621,772,000 1,232,463,000 621,772,000   1,381,510,000   641,094,000  1,030,404,000 764,178,000 1,156,213,000 835,541,000 1,353,603,000 1,030,371,000  1,880,712,000 1,495,142,000 1,960,849,000  
        deferred income tax assets - noncurrent
                                                    60,240,000     1,753,163,000  841,140,000 1,965,845,000 841,140,000   2,067,877,000   694,669,000  1,621,017,000 975,695,000 1,629,709,000 997,106,000        
        restricted assets
                                              179,929,000 179,929,000     149,747,000     367,027,000  149,447,000 240,044,000 149,447,000   236,516,000   84,447,000  177,565,000 84,147,000 191,416,000 85,225,000 279,068,000 126,867,000  336,463,000 138,715,000 204,632,000  
        other assets - other
                                              54,576,000 54,576,000                                 
        total other assets
                                              1,505,088,000 1,505,088,000     1,390,944,000     4,460,855,000  3,436,477,000 4,750,373,000 3,436,477,000   5,038,724,000   3,957,917,000  3,891,346,000 4,606,092,000 4,146,065,000 5,213,901,000 4,104,622,000 5,969,234,000  5,564,101,000 4,756,275,000 7,053,533,000 4,735,551,000 
        liabilities and shareholders’ equity
                                                                                
        hedging derivative liabilities - current
                                               4,524,000                    122,495,000             
        accounts payable
                                               6,475,471,000                    5,253,226,000       4,721,819,000      
        accounts payable to related parties
                                               1,119,382,000                    1,061,115,000       843,411,000      
        income tax payable
                                               752,843,000                    808,739,000       911,455,000      
        accrued expenses
                                               4,898,542,000                    2,658,620,000       1,556,582,000      
        payable for properties
                                               2,553,762,000                           989,286,000      
        current portion of long-term bank loans
                                               1,028,571,000                           210,000,000      
        long-term liabilities
                                                 50,921,572      56,030,297                         
        hedging derivative liabilities - noncurrent
                                                                   311,778,000             
        long-term bank loans
                                               26,802,099,000                    42,235,920,000       10,835,267,000      
        total long-term liabilities
                                               34,625,670,000                    42,549,447,000             
        accrued pension cost
                                               1,599,049,000                    1,072,012,000       621,489,000      
        guarantee deposits received
                                               4,358,000                    878,000             
        deferred inconce tax liabilities - noncurrent
                                               543,908,000                                 
        total other liabilities
                                               2,147,315,000                    1,072,890,000       625,072,000      
        capital stock
                                                                                
        common stock - at par value of nt10 each
                                                                                
        authorized - 9,500,000 thousand shares
                                                                                
        issued - 7,594,150 thousand shares and 6,753,563 thousand shares
                                                                                
        as of december 31, 2012 and 2011, respectively
                                               75,941,496,000                                 
        capital received in advance
                                               106,171,000                    135,205,000       384,428,000      
        total capital stock
                                               76,047,667,000                    54,933,988,000             
        capital in excess of par value
                                               1,704,700,000                    1,311,421,000       269,027,000      
        treasury stock
                                               83,117,000                    827,285,000       16,768,000      
        employee stock options
                                               1,288,353,000                                 
        total capital surplus
                                               8,767,134,000                    6,333,755,000       3,805,768,000      
        other equity adjustments
                                               -2,269,099,000                    -2,881,126,000             
        unrealized gain on financial instruments
                                               401,938,000                    25,498,000             
        cumulative translation adjustments
                                               119,987,000                    3,276,508,000       1,330,651,000      
        unrecognized pension cost
                                               -831,917,000                    -248,641,000       -19,041,000      
        shares as of december 31, 2012 and 2011, respectively
                                               -1,959,107,000                                 
        total shareholders' equity
                                               109,514,885,000                    71,616,026,000       66,019,899,000      
        total non-operating (expenses) income
                                                142,000,000                                
        income tax benefit
                                                -236,000,000                                
        income from continuing operations and before minority interest
                                                882,000,000                                
        minority interest
                                                -114,000,000  2,797,000,000 2,689,000,000  2,606,000,000 1,113,000,000  3,262,000,000  3,143,000,000    3,445,000,000 3,345,000,000  3,897,000,000 7,055,000,000  7,235,000,000       11,470,000,000     
        net income
                                                768,000,000                                
        financial assets – non current
                                                  2,304,000,000 2,169,000,000  2,342,000,000 2,221,000,000  2,640,000,000  2,743,000,000    2,450,000,000 2,429,000,000  2,328,000,000 2,389,000,000  2,430,000,000       5,659,000,000     
        properties – net
                                                  124,831,000,000 120,065,000,000  111,429,000,000 111,779,000,000  110,653,000,000  104,566,000,000    101,105,000,000 101,726,000,000  102,698,000,000 95,906,000,000  86,748,000,000            
        shareholders’ equity
                                                  105,872,000,000 103,704,000,000  104,000,000,000 101,170,000,000  98,846,000,000  93,009,000,000    93,958,000,000 91,149,000,000  88,666,000,000 84,023,000,000  80,205,000,000       68,596,000,000     
        noncontrolling interest in consolidated subsidiaries
                                                 3,106,845      1,283,502                         
        total liabilities and shareholders’ equity
                                                 242,656,744      220,091,347                         
        patents
                                                    28,981,000       42,831,000  42,831,000      62,194,000  101,716,000 81,722,000 130,373,000 5,949,000 5,950,000 4,081,000  4,081,000    
        hedging derivative assets - current
                                                            140,331,000    163,670,000                
        inventories related to construction business
                                                         10,383,292,000   10,409,249,000    10,125,370,000                
        bond investments with no active market - noncurrent (notes 2, 11
                                                                                
        and 25)
                                                         86,175,000                       
        leased assets and leasehold improvements
                                                         467,256,000   426,606,000    436,640,000     343,204,000  390,209,000  571,940,000   1,042,889,000  631,708,000  
        less: accumulated impairment
                                                         -135,459,000   -204,732,000    -191,210,000     -5,401,000  -12,991,000         
        land use rights
                                                         2,237,018,000   2,206,539,000    2,173,907,000     1,385,144,000  1,438,351,000  1,486,209,000   600,322,000  746,087,000  
        guarantee deposits - noncurrent
                                                         89,240,000  12,950,000 87,365,000 12,950,000   78,453,000   12,193,000  50,628,000  45,150,000         
        other
                                                         12,148,000   14,710,000    4,432,000       762,189,000 4,744,000 100,986,000 4,744,000  520,016,000 22,795,000 617,688,000 4,744,000 
        receivable for income tax refund
                                                                   99,330,000             
        accumulated depreciation
                                                           49,468,469,000  49,468,469,000      48,492,479,000   43,894,884,000  39,523,826,000 -84,480,618,000 35,884,646,000  -71,608,252,000 32,825,973,000 -62,716,087,000  
        guarantee deposits - current
                                                            31,317,000         256,876,000  16,074,000         
        bond investments with no active market - noncurrent
                                                            88,254,000    87,420,000     96,090,000           
        financial assets at fair value through profit or loss - current (notes 2 and
                                                                                
        5)
                                                                1,195,273,000                
        guarantee deposits – current
                                                                14,914,000                
        bond investments with no active market - current
                                                                      450,000,000 450,000,000         
        payable for properties purchased
                                                                   1,755,397,000             
        current portion of capital lease obligations
                                                                   9,048,000       65,921,000      
        long-term bonds payable
                                                                          5,758,611,000 8,208,000,000     
        capital lease obligations
                                                                   1,749,000       37,038,000      
        capital stock - nt10 par value
                                                                                
        authorized - 8,000,000 thousand shares
                                                                                
        issued - 5,479,878 thousand shares in 2009 and 5,690,428 thousand shares in
                                                                                
        2008
                                                                   54,798,783,000             
        long-term investment
                                                                   3,538,222,000       3,519,973,000      
        accrued interest on convertible bonds
                                                                   656,827,000             
        in 2008
                                                                   -5,934,491,000             
        construction in progress related to property development
                                                                     7,251,193,000           
        net property, plant and equipment
                                                                     79,363,860,000  84,757,984,000 30,781,603,000 81,788,329,000 33,635,138,000  73,543,754,000  68,040,771,000  
        acquired special technology
                                                                     484,544,000  626,362,000         
        held-to-maturity financial assets - current
                                                                                
        income tax refund receivable
                                                                      99,330,000  99,330,000        
        guarantee deposits- noncurrent
                                                                      11,060,000          
        available-for-sale financial assets
                                                                        4,520,062,000 9,406,327,000 6,316,827,000  9,346,415,000    
        held-to-maturity financial assets
                                                                        50,000,000 50,000,000 50,000,000  50,000,000    
        notes receivable
                                                                        60,602,000 62,451,000 96,421,000  109,912,000 81,698,000 83,936,000 87,432,000 
        deferred income tax assets
                                                                        1,373,818,000 2,075,256,000 1,814,867,000  2,808,184,000 1,289,294,000 1,615,696,000 1,190,938,000 
        prepayments and other
                                                                        100,585,000  149,093,000  1,275,948,000 299,106,000 1,178,532,000 415,589,000 
        financial assets carried at cost
                                                                        338,002,000 525,025,000 357,076,000  1,595,597,000    
        deferred pension costs
                                                                        34,151,000        
        financial assets at fair value through profit or loss
                                                                         1,601,994,000   1,557,903,000    
        prepayment for long-term investments
                                                                              81,375,000  
        rental assets
                                                                          3,127,090,000      
        financial liabilities at fair value through profit or loss (notes
                                                                                
        2, 3 and 5)
                                                                          338,318,000      
        derivative financial liabilities for hedging
                                                                                
        other payable to related parties
                                                                          489,489,000      
        other payable
                                                                          1,088,557,000      
        temporary receipts
                                                                          2,311,321,000      
        total long-term debts
                                                                          16,630,916,000      
        unrealized intercompany profit
                                                                          3,583,000      
        capital stock - nt10 par vale
                                                                                
        authorized - 7,000,000 thousand shares in 2006 and 6,300,000
                                                                                
        thousand shares in 2005
                                                                                
        issued - 4,592,509 thousand shares in 2006 and 4,557,372 thousand
                                                                                
        shares in 2005
                                                                          45,925,086,000      
        unrealized gain or loss on financial instruments
                                                                          416,400,000      
        total other equity adjustments
                                                                          1,728,010,000      
        properties - net
                                                                           78,970,000,000     
        short-term debts – current portion of long-term debts
                                                                           2,603,000,000     
        short-term debts – current portion of bonds payable
                                                                           1,375,000,000     
        pledged time deposits
                                                                                
        prepayments for long-term investments
                                                                                
        short-term investments
                                                                              4,352,923,000 4,350,000 
        long-term investments - equity method
                                                                             29,805,833,000   
        long-term investments - cost method
                                                                             58,083,000   
        prepaid for long-term investments
                                                                             8,083,000   
        other long-term investments
                                                                             50,000,000  50,000,000 
        net properties
                                                                             36,429,517,000  47,197,322,000 
        rental properties
                                                                               218,083,000 
        pledged time deposit
                                                                              62,505,000  
        long-term investments- equity method
                                                                              3,494,371,000  
        long-term investments- cost method
                                                                              1,272,311,000  
        other long-term investment
                                                                              50,000,000  
        accounts receivable - related parties
                                                                               404,688,000 
        other receivable
                                                                               695,427,000 
        long-term investments under the equity method
                                                                               27,121,171,000 
        long-term investments under the cost method
                                                                               50,000,000 
        other financial assets – non-current
                                                                                
        properties
                                                                                
        deferred charge
                                                                               1,831,233,000 
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2025-10-30 2025-07-31 2025-04-30 2024-12-31 2024-10-31 2024-07-25 2024-04-25 2023-12-31 2023-10-26 2023-04-27 2023-02-09 2022-12-31 2022-10-27 2021-12-31 2017-08-08 2015-07-15 2015-06-25 2015-05-22 2014-07-11 2013-07-19 2013-05-29 2012-07-09 2011-07-05 2010-07-06 2010-06-17 2008-05-20 2007-05-25 2006-06-12 2005-06-21 
                                     
          current assets
                                     
          cash and cash equivalents
        2,357 -4,315 77,100  5,538 -8,932 75,105  3,461 62,056,000,000 58,040,000,000  -20,488,000,000                 
          financial assets – current
        4,152 -12,317 16,435  -2,519 752 8,410  2,015 6,317,000,000 7,560,000,000  3,531,000,000                 
          trade receivables
        22,562 -6,616 109,717 -14,331,905,061 11,707 5,090 97,264 15,868,695,922 15,407 91,514,000,000    -27,240,195,000 864,574,000  9,899,771,000 -4,412,063,000 5,393,323,000           
          inventories
        9,124 -2,800 59,858 1,781,066,014 5,498 229 63,259 25,401,738,047 -615 85,667,000,000 92,826,000,000 -122,956,101,000 6,626,000,000 -17,351,967,000 2,079,473,000  -3,183,220,000 -851,607,000 144,372,000 -398,693,000 -398,693,000 -505,456,000 -460,390,000 -678,765,000 -678,765,000 370,006,000 1,690,114,000   
          others
        1,890 1,391 15,542 -65,688,364 -11,784 184 28,964 34,858,209 1,391 25,717,000,000 27,294,000,000 -29,232,234,000 736,000,000 -722,828,000 537,931,000 1,414,695,000 324,051,000 1,414,695,000 105,946,000 -162,545,000 -162,545,000 334,909,000        
          total current assets
        40,085 -24,657 278,652  8,440 -2,677 273,002  21,659 271,271,000,000 300,367,000,000  13,966,000,000                 
          financial assets - non-current & investments - equity -method
        3,269                             
          property, plant and equipment
        32,346 22,793 342,056  11,612 6,243 265,592  4,712 266,005,000,000 268,235,000,000  9,724,000,000                 
          right-of-use assets
        1,004 -33 11,754  207 -242 11,534  67 10,882,000,000 11,061,000,000  969,000,000                 
          intangible assets
        -171 -1,345 66,955  -262 -686 68,986  -760 72,101,000,000 72,835,000,000  -710,000,000                 
          total assets
        77,469 -9,002 774,177  31,629 1,460 681,470  28,563 675,440,000,000 707,068,000,000  24,750,000,000                 
          current liabilities
                                     
          short-term borrowings3
        19,607 -15,116 55,485                           
          long-term debts - current portion
        -5,093                             
          trade payables
        19,924 -3,864 74,382 7,694,619,405 11,689 4,452 66,454 -9,037,434,053 11,828 63,552,000,000    8,381,734,000 -2,052,261,000 726,175,000 -3,705,388,000 726,175,000 -3,517,508,000           
          total current liabilities
        10,583 -18,772 267,742  5,562 1,077 229,043  15,746 234,359,000,000 222,261,000,000  3,520,000,000                 
          bonds payable
        702 -4,398 21,066  -4,903 -9,642 31,618  -9,873 38,837,000,000 42,851,000,000  -389,000,000                 
          long-term borrowings3
        39,251                             
          other liabilities
        2,315 -1,362 23,638  -202 -1,101 24,051  373 25,766,000,000 27,083,000,000  2,374,000,000                 
          total liabilities
        52,851 11,086 439,154  24,046 -9,841 369,301  10,344 385,714,000,000 387,143,000,000  -2,589,000,000                 
          equity attributable to shareholders of the parent
        23,273 -17,752 311,522  7,051 11,352 290,996  16,987 270,651,000,000 301,285,000,000  25,322,000,000                 
          non-controlling interests
        1,345 -2,336 23,501  532 -51 21,173  1,232 19,075,000,000 18,640,000,000  2,017,000,000                 
          total liabilities & shareholders’ equity
        77,469 -9,002 774,177  31,629 1,460 681,470  28,563 675,440,000,000 707,068,000,000  24,750,000,000                 
          current ratio
        0.11 -0.02 1.04  0.01 -0.02 1.19  0.01 1,160,000 1,350,000  40,000                 
          net debt to equity ratio
        0.11 0.11 0.41  0.07 -0.02 0.36  0.06 420,000 430,000  30,000                 
          cash flows from operating activities:
                                     
          profit before income tax
               42,611,810,748      57,006,205,000 9,575,667,000 26,113,372,000 5,506,616,000 26,113,372,000 4,283,317,000           
          depreciation & amortization
                                     
          other operating activities items
                      -445,156,000  184,121,000  44,182,000           
          net cash generated from operating activities
               114,421,828,120      48,464,903,000  25,050,143,000 16,025,978,000 25,050,143,000 13,167,630,000           
          cash flows from investing activities:
                                     
          net payments for property, plant and equipment
                                     
          other investment activities items
                                     
          net cash from investing activities
               -55,121,979,377      -34,611,321,000 -6,022,229,000  -7,391,145,000 -24,224,914,000 -3,530,980,000 -25,951,668,000 -25,951,668,000 -12,578,305,000 -6,063,722,000 -8,632,100,000 -8,632,100,000 -1,940,396,000 -9,716,095,000   
          cash flows from financing activities:
                                     
          total net proceeds from borrowings and bonds
                                     
          dividends paid
               -37,840,571,159      -6,868,279,000   -10,156,005,000            
          other financing activities items
               2,740,038      -36,489,000 207,598,000  -3,136,000  2,505,000           
          net cash generated from financing activities
                                     
          foreign currency exchange effect
                                     
          net increase in cash and cash equivalents
               9,244,120,538           -1,448,883,000    3,561,213,000       
          cash and cash equivalents at the beginning of period
                                     
          cash and cash equivalents at the end of period
                                     
          total net proceeds from (repayment of) borrowings and bonds
                                     
          financial assets – non-current & investments – equity -method
          41,428    30,776                       
          current portion of bonds payable & current portion of long-term borrowings
          20,774  4,876 4,580 14,075  6,028 11,999,000,000 10,041,000,000  -3,678,000,000                 
          long-term borrowings
          126,708  23,589 -175 84,589                       
          income before tax
                                     
          net proceeds from (repayment of) borrowings and bonds
                                     
          cash flows from operating activities
                                     
          adjustments for:
                                     
          depreciation expense
                     29,029,979,000 7,266,843,000  7,256,998,000  6,269,956,000           
          amortization expense
                     3,709,969,000 116,822,000  135,828,000  135,271,000           
          net gain on fair value change of financial assets and liabilities at fair value through profit or loss
                         -1,735,649,000            
          finance costs
                     1,485,805,000                
          interest income
                     -364,302,000 -58,452,000  -51,305,000  -58,712,000           
          dividend income
                     -242,627,000 -5,786,000  -65,750,000  -3,417,000           
          share-based payment compensations
                                     
          share of profit of associates and joint ventures
                     -357,191,000                
          gain on disposal of property, plant and equipment
                                     
          gain on disposal of investments accounted for using the equity method
                                     
          impairment loss recognized on financial assets
                     -94,521,000                
          impairment loss recognized on non-financial assets
                       335,797,000  335,797,000 58,668,000           
          gain on disposal of subsidiaries
                     -11,696,645,000                
          gain on bargain purchase
                                     
          net loss on foreign currency exchange
                        -387,455,000             
          changes in operating assets and liabilities
                                     
          financial assets mandatorily at fair value through profit or loss
                                     
          contract assets
                                     
          other receivables
                     165,925,000 -22,164,000  411,000 -419,790,000 30,320,000 -383,395,000 -383,395,000 -132,929,000  -83,966,000 -83,966,000 85,122,000    
          other current assets
                     -318,128,000 154,535,000  528,999,000 -230,071,000 -27,716,000   -88,950,000 -285,983,000 -53,902,000 -53,902,000     
          other financial assets
                                     
          other operating activities assets
                                     
          financial liabilities held for trading
                     -732,919,000 -907,377,000  -166,653,000 -258,775,000 -137,870,000           
          other payables
                     6,846,654,000 1,552,471,000 1,865,052,000 -1,417,585,000 1,865,052,000 -22,647,000 101,522,000 101,522,000 58,833,000  22,919,000 22,919,000 -373,322,000    
          other current liabilities
                     5,151,190,000 56,047,000 52,772,000 306,642,000 52,772,000 -73,957,000 713,000 713,000 57,192,000 -895,612,000 121,833,000 121,833,000 8,719,000 -87,000 103,280,000 15,610,000 
          other operating activities liabilities
                                     
          cash generated from operations
                                     
          interest received
                     348,718,000 63,642,000  52,766,000  69,151,000           
          dividend received
                     -1,261,867,000 5,787,000 87,030,000 65,750,000 87,030,000 3,417,000           
          interest paid
                     -1,317,286,000 -374,895,000  -559,232,000 -644,433,000 -556,723,000 829,694,000 829,694,000 917,468,000 405,751,000 1,171,916,000 1,171,916,000 439,084,000 887,221,000 1,225,725,000 655,896,000 
          income tax paid
                     -2,785,752,000 -399,444,000  -573,431,000 -706,640,000 -383,502,000 921,148,000 921,148,000 608,471,000 605,901,000 471,854,000 471,854,000 786,637,000 17,817,000 37,933,000 48,262,000 
          cash flows from investing activities
                                     
          purchase of financial assets at fair value through other comprehensive income
                                     
          proceeds from disposal of financial assets at fair value through other comprehensive income
                                     
          return of capital from financial assets at fair value through other comprehensive income
                                     
          acquisition of associates and joint ventures
                                     
          proceeds from disposal of investments accounted for using the equity method
                                     
          net proceeds outflow on acquisition of subsidiaries
                                     
          net proceeds from disposal of subsidiaries
                                     
          payments for property, plant and equipment
                     -51,008,322,000   -7,762,448,000 -25,859,051,000 -3,975,218,000           
          proceeds from disposal of property, plant and equipment
                     134,210,000  187,058,000 31,255,000 187,058,000 17,536,000 121,566,000 121,566,000 939,261,000 76,282,000 101,739,000 101,739,000     
          payments for intangible assets
                     -833,533,000 -139,965,000  -162,975,000 -202,242,000 -88,151,000           
          proceeds from disposal of intangible assets
                     -33,530,000 20,164,000               
          payments for right-of-use assets
                                     
          payments for investment properties
                                     
          proceeds from disposal of investment properties
                                     
          increase in other financial assets
                        -12,013,000  -9,806,000           
          decrease in other financial assets
                     303,271,000                
          increase in other non-current assets
                      -28,786,000               
          decrease in other non-current assets
                     310,948,000   -32,942,000  3,946,000           
          other investing activities items
                                     
          cash flows from financing activities
                                     
          proceeds from short-term borrowings
                         -85,683,000  5,207,973,000 5,207,973,000 302,750,000      4,579,292,000 990,267,000 
          repayment of short-term borrowings
                        -4,041,624,000  -11,399,502,000           
          proceeds from short-term bills payable
                                     
          repayment of short-term bills payable
                                     
          proceeds from bonds offering
                                     
          repayment of bonds payable
                     2,123,972,000         -1,375,000,000 -1,375,000,000     
          proceeds from long-term borrowings
                     158,914,200,000 13,319,819,000 28,718,192,000 5,005,910,000 28,718,192,000 4,853,794,000           
          repayment of long-term borrowings
                     -129,913,159,000 -10,722,182,000  -5,803,317,000  -6,123,956,000           
          repayment of the principle portion of lease liabilities
                                     
          proceeds from exercise of employee share options
                     1,581,863,000  1,458,088,000 557,403,000 1,458,088,000 452,581,000           
          payments for buy-back of ordinary shares
                        -5,333,406,000             
          decrease in non-controlling interests
                     -6,153,772,000                
          net cash from financing activities
               -49,101,029,761      8,877,296,000   -9,618,170,000  -12,214,578,000 5,127,071,000 5,127,071,000 -11,203,412,000 1,859,137,000 -894,826,000 -894,826,000 -12,894,137,000 -11,438,564,000  2,269,651,000 
          effects of exchange rate changes on the balance of cash and cash equivalents held in foreign currency
                                     
          cash and cash equivalents at the beginning of the year
                                     
          cash and cash equivalents at the end of the year
                                     
          short-term borrowings4
            5,661                         
          cash and cash equivalents in the consolidated balance sheet
                                     
          cash and cash equivalents included in disposal groups held for sale
                                     
          financial assets – non-current & investments – equity - method
                                     
          net cash used in investing activities
                                     
          total net repayment of borrowings
                                     
          net cash used in financing activities
                                     
          net increase (decrease) in cash and cash equivalents
                                     
          short-term borrowings2
              56,863                       
          net repayment of loans
                                     
          financial assets – non-current & investments – equity method
                1,641 24,352,000,000 22,909,000,000  570,000,000                 
          short-term borrowings1
                                     
          long-term borrowings2
                 86,752,000,000 94,948,000,000  -8,094,000,000                 
          net loss on fair value change of financial assets and liabilities at fair value through profit or loss
                        968,918,000             
          loss on disposal of investments accounted for using the equity method
                                     
          gain from bargain purchase - acquisition of subsidiary
                                     
          proceeds from sale of financial assets at fair value through other comprehensive income
                                     
          proceeds from sale of financial assets at amortized cost
                                     
          proceeds from disposal of right-of-use assets
                                     
          short-term borrowings
                 45,158,000,000 46,731,000,000  17,334,000,000                 
          total net proceeds from (repayment of) borrowings
                                     
          share based compensations
                                     
          share of profit of subsidiaries
                                     
          other payables to related parties
                       312,412,000  312,412,000  331,108,000 331,108,000 73,071,000        
          cash from operations
                                     
          income tax return
                                     
          acquisition of subsidiaries for using the equity method
                                     
          repayment of bonds
                                     
          decrease in other payables to related parties
                                     
          net increase in cash
                           218,801,000 218,801,000   946,058,000 946,058,000  -396,297,000 1,946,289,000  
          cash at the beginning of the year
                                     
          cash at the end of the year
                                     
          notes and accounts receivable
                  114,647,000,000  23,561,000,000             -3,839,395,000 2,973,913,000   
          notes and accounts payable
                  78,997,000,000  17,752,000,000                 
          net cash generated from (used in) investing activities
                                     
          reversal of impairment loss recognized on financial assets
                                     
          net cash outflow on acquisition of subsidiaries
                                     
          proceeds from disposal of subsidiaries
                                     
          return of capital by investee accounted for using the equity method
                                     
          current assets:
                                     
          current liabilities:
                                     
          share-based payments compensation
                                     
          loss on disposal of property, plant and equipment
                                     
          gain on remeasurement of investments accounted for using the equity method
                                     
          gain from bargain purchase - acquisition of subsidiaries
                                     
          net gain on foreign currency exchange
                     84,237,000                
          purchase of financial assets at fair value through profit or loss
                                     
          return of capital from investments accounted for using the equity method
                                     
          cash flows from operating
                                     
          activities
                                     
          net loss on fair value change of financial assets
                                     
          and liabilities at fair value through profit or loss
                                     
          compensation cost of employee share options
                       82,408,000 12,875,000 82,408,000 33,487,000           
          reversal of impairment loss on financial assets
                                     
          impairment loss recognized on non- financial assets
                                     
          financial assets held for trading
                      -1,656,541,000 889,176,000 535,510,000 889,176,000 308,372,000           
          advance real estate receipts
                      -470,323,000        15,091,000       
          cash flows from investing
                                     
          purchase of financial assets designated as at fair value
                                     
          through profit or loss
                                     
          proceeds on sale of financial assets designated as at
                                     
          fair value through profit or loss
                                     
          purchase of available-for-sale financial assets
                        -149,279,000 -1,941,283,000 -1,942,512,000           
          proceeds on sale of available-for-sale financial assets
                       3,809,325,000 700,404,000 3,809,325,000 2,370,171,000           
          cash received from return of capital by available-for-sale
                                     
          financial assets
                      62,959,000               
          net cash inflow from disposal of subsidiaries
                                     
          cash flows from financing
                                     
          net repayment of short-term borrowings
                                     
          proceeds from issue of bonds
                                    
          proceeds from issue of ordinary shares
                                     
          effects of exchange rate
                                     
          changes on the balance of
                                     
          net increase in cash and cash
                                     
          equivalents
                                     
          cash and cash equivalents at the beginning
                                     
          of the period
                                     
          cash and cash equivalents at the end of
                                     
          the period
                                     
          net gains on fair value change of
                                     
          financial assets and liabilities at fair
                                     
          value through profit or loss
                                     
          interest expense
                        577,332,000  589,916,000           
          compensation cost of employee share
                                     
          options
                                     
          share of loss (profit) of associates and
                                     
          joint ventures
                                     
          impairment loss recognized on
                                     
          reversal of impairment loss on
                                     
          impairment loss recognized on non-
                                     
          reversal of compensation cost for
                                     
          the settlement of legal claims
                                     
          net loss on foreign currency
                                     
          changes in operating assets and
                                     
          liabilities
                                     
          net cash generated from operating
                                     
          purchase of financial assets designated
                                     
          as at fair value through profit or loss
                                     
          proceeds on sale of financial assets
                                     
          designated as at fair value through
                                     
          profit or loss
                                     
          purchase of available-for-sale financial
                                     
          assets
                                     
          proceeds on sale of available-for-sale
                                     
          cash received from return of capital by
                                     
          available-for-sale financial assets
                                     
          acquisition of associates and joint
                                     
          ventures
                                     
          net cash outflow on acquisition of
                                     
          subsidiaries
                                     
          payments for property, plant and
                                     
          equipment
                                     
          proceeds from disposal of property,
                                     
          plant and equipment
                                     
          net proceeds from
                                     
          short-term bills payable
                                     
          proceeds from exercise of employee
                                     
          share options
                                     
          payments for acquisition of treasury
                                     
          shares
                                     
          proceeds from partial disposal of
                                     
          interests in subsidiaries
                                     
          net cash generated from
                                     
          financing activities
                                     
          held in foreign currency
                                     
          net increase in cash and
                                     
          cash equivalents
                                     
          cash and cash equivalents at
                                     
          the beginning of the year
                                     
          the end of the year
                                     
          share of loss (profit) of associates and joint ventures
                                     
          net proceed from (repayment of) short-term borrowings
                                     
          payments for acquisition of treasury shares
                                     
          proceeds from partial disposal of interests in subsidiaries
                                     
          increase in non-controlling interests
                                     
          net decrease in cash and cash
                                     
          (reversal of) compensation cost for
                                     
          purchase of held-to-maturity financial
                                     
          proceeds on sale of held-to-maturity financial
                                     
          net proceeds from (repayment of) short-
                                     
          term borrowings
                                     
          net proceeds from short-term bills payable
                                     
          depreciation expenses
                       12,667,954,000  12,667,954,000            
          amortization expenses
                       109,809,000  109,809,000            
          interest expenses
                       992,542,000  992,542,000            
          share of profit of subsidiarie and associates
                         -8,736,876,000            
          trade receivables from related parties
                         -2,663,772,000            
          other receivables from related parties
                         -2,856,000  212,694,000 212,694,000 -141,278,000        
          trade payables to related parties
                       148,849,000  148,849,000            
          accrued pension liabilities
                         -85,368,000           112,544,000 
          purchase of financial assets designated as at fair value through profit or loss
                        -31,598,532,000 -25,266,850,000 -23,879,381,000           
          proceeds from disposal of financial assets designated as at fair value through profit or loss
                       25,430,954,000  25,430,954,000 24,072,435,000           
          acquisition of equity method investments
                         -100,000,000  -5,148,884,000 -5,148,884,000 -895,405,000 -20,192,000       
          net cash inflows from business combination
                           806,196,000 806,196,000         
          other investing activities
                         -282,825,000  -247,398,000 -247,398,000         
          proceeds from issue of convertible bonds
                                     
          repayments of long-term borrowings
                         -36,739,806,000            
          increase in other payables to related parties
                       12,273,225,000  12,273,225,000  5,449,393,000 5,449,393,000 5,249,447,000  4,893,800,000 4,893,800,000     
          other financing activities
                       2,009,000  2,009,000  -1,099,000 -1,099,000         
          net cash generated (used in) from financing activities
                         -4,529,980,000            
          net increase in ( decrease) cash
                         -3,704,751,000            
          cash, at the beginning of the year
                       14,959,268,000  14,959,268,000            
          cash, at the end of the year
                       11,254,517,000  11,254,517,000            
          share of loss (profit) of associates
                        -3,804,000             
          reversal of impairment loss recognized on non-financial assets
                        -216,787,000             
          proceeds on sale of financial assets designated as at fair value through profit or loss
                        31,595,385,000             
          acquisition of associates
                                     
          effects of exchange rate changes on the balance of cash and cash equivalents
                        -1,296,637,000  1,129,045,000           
          net decrease in cash and cash equivalents
                        -2,279,974,000             
          cash and cash equivalents at the beginning of the period
                        51,694,410,000  45,026,371,000           
          cash and cash equivalents at the end of the period
                        49,414,436,000  43,577,488,000           
          net gains on fair value change of financial assets and liabilities at fair value through profit or loss
                          -326,296,000           
          share of profit of associates
                          64,226,000           
          exchange loss
                          742,054,000           
          purchase of equity method investments
                          -100,000,000           
          net losses on fair value change of financial assets and liabilities at fair value through profit or loss
                                     
          compensation cost for the settlement of legal claims
                                     
          cash received from return of capital by available-for-sale financial assets
                                     
          purchase of held-to-maturity financial assets
                                     
          proceeds on sale of held-to-maturity financial assets
                                     
          effects of exchange rate changes on the balance of cash and cash equivalents held in foreign currencies
                                     
          net income
                           13,091,359,000 13,091,359,000 13,725,958,000 4,133,310,000 6,744,546,000 6,744,546,000 12,165,249,000 17,416,151,000  4,209,690,000 
          adjustments to reconcile net income to net cash from operating activities:
                                     
          depreciation
                           8,606,430,000 8,606,430,000 7,512,725,000 5,251,238,000 5,611,664,000 5,611,664,000 6,294,705,000 6,549,253,000 7,135,150,000 5,662,773,000 
          amortization
                           309,630,000 309,630,000 388,197,000 395,633,000 349,617,000 349,617,000 553,111,000 681,294,000 790,792,000 513,686,000 
          compensation cost of share-based payments granted
                           327,221,000 327,221,000 398,496,000        
          provision for inventory valuation and obsolescence
                           152,082,000 152,082,000 123,712,000 40,893,000       
          equity in earnings of equity method investments
                           -4,335,611,000 -4,335,611,000 -4,497,292,000 -132,127,000       
          cash dividends received from equity method investments
                           2,223,664,000 2,223,664,000 5,791,158,000     134,544,000   
          impairment loss on financial assets
                             93,370,000        
          impairment loss on non-financial assets
                           27,974,000 27,974,000 71,400,000        
          deferred income taxes
                           889,553,000 889,553,000 521,427,000 174,594,000 281,359,000 281,359,000 1,106,933,000 395,016,000   
          financial assets for trading
                           462,313,000 462,313,000 -398,797,000 44,989,000 -15,747,000 -15,747,000     
          accounts receivable
                           -957,762,000 -957,762,000 -142,932,000 -253,860,000 -4,489,556,000 -4,489,556,000    3,660,117,000 
          accounts receivable from related parties
                           10,254,000 10,254,000 37,163,000        
          other operating assets
                           -94,405,000 -94,405,000         
          financial liabilities for trading
                           294,140,000 294,140,000 -432,255,000 -229,733,000 -21,043,000 -21,043,000 -303,869,000 -458,814,000   
          accounts payable
                           238,698,000 238,698,000 -172,000 -662,088,000 2,749,616,000 2,749,616,000 827,358,000 -2,054,496,000 3,742,890,000  
          accounts payable to related parties
                           235,105,000 235,105,000 -212,368,000        
          income tax payable
                           -312,840,000 -312,840,000 200,409,000 182,620,000 165,995,000 165,995,000 -190,565,000 895,918,000  7,806,000 
          accrued expenses
                           174,189,000 174,189,000 412,503,000 190,674,000 257,541,000 257,541,000 233,921,000 -338,891,000 91,342,000 493,691,000 
          net cash from operating activities
                           21,043,398,000 21,043,398,000 23,625,244,000 7,454,045,000 10,472,984,000 10,472,984,000 14,546,747,000 20,761,746,000 12,117,856,000 10,751,433,000 
          capital expenditures
                           
          free cash flows
                           21,043,398,000 21,043,398,000 23,625,244,000 7,454,045,000 10,472,984,000 10,472,984,000 14,546,747,000 20,761,746,000 12,117,856,000 10,751,433,000 
          acquisition of available-for-sale financial assets
                           -168,441,000 -168,441,000 -150,000,000 -50,000,000 -570,000,000 -570,000,000 -8,540,000,000 -10,583,480,000   
          proceeds from disposal of available-for-sale financial assets
                           100,008,000 100,008,000 150,062,000 272,535,000 570,058,000 570,058,000     
          acquisition of financial assets carried at cost
                           -3,481,000 -3,481,000 -30,914,000 -9,701,000 -104,914,000 -104,914,000 -8,131,000 -290,910,000   
          cash received from return of capital by financial assets carried at cost
                             14,785,000        
          cash received from return of capital by equity method investments
                             904,587,000        
          acquisition of property, plant and equipment
                           -21,411,234,000 -21,411,234,000 -12,121,952,000 -6,170,402,000 -5,574,392,000 -5,574,392,000 -4,673,335,000 -8,194,992,000   
          increase in other receivables
                               -8,794,470,000 -8,794,470,000     
          proceeds from issuance of bonds
                                     
          proceeds from long-term bank loans
                           11,224,941,000 11,224,941,000 20,717,740,000 8,418,382,000 27,680,050,000 27,680,050,000     
          repayments of long-term bank loans
                           -12,744,543,000 -12,744,543,000 -39,114,209,000        
          cash dividends
                           -4,325,284,000 -4,325,284,000 -3,932,419,000  -2,736,568,000 -2,736,568,000 -6,941,011,000    
          proceeds from exercise of stock options by employees
                           315,690,000 315,690,000 589,326,000 430,229,000 238,789,000 238,789,000     
          acquisition of treasury stock
                             -2,772,634,000  -1,314,273,000 -1,314,273,000     
          cash, beginning of year
                           1,475,629,000 1,475,629,000 1,632,102,000  3,133,212,000 3,133,212,000 4,517,626,000 4,913,923,000 2,967,634,000 4,839,182,000 
          cash, end of year
                           1,694,430,000 1,694,430,000 1,475,629,000  4,079,270,000 4,079,270,000 4,229,840,000 4,517,626,000 4,913,923,000 2,967,634,000 
          supplemental information
                                     
          less: capitalized interest
                           86,389,000 86,389,000 43,746,000 -48,034,000       
          cash paid for acquisition of property, plant and equipment
                                     
          decrease in payables
                           181,141,000 181,141,000 -1,464,208,000        
          cash received from disposal of property, plant and equipment
                                     
          decrease in other receivables
                           -144,490,000 -144,490,000 -1,081,071,000   -39,152,000     
          cash received from return of capital by long-term investments
                                     
          decrease in other receivables from related parties
                                     
          cash paid for acquisition of equity method investments
                                     
          payments by other receivables
                                     
          financing activities not affecting cash flows
                                     
          current portion of long-term bank loans
                           1,028,571,000 1,028,571,000     380,000,000    
          compensation cost for employee stock options granted
                              117,578,000       
          impairment loss
                                     
          inventories related to construction business
                              -283,879,000       
          other current liabilities and other liabilities
                                     
          proceeds from disposal of financial assets carried at cost
                                     
          acquisition of subsidiaries
                                     
          cash paid for purchase of property, plant and equipment
                                     
          decrease in guarantee deposits
                             -5,097,000        
          decrease in restricted assets
                                -300,000 41,642,000    
          purchase of intangible assets
                                     
          increase in other assets
                              -125,847,000    -554,799,000   
          proceeds from (repayments of) short-term borrowings
                                     
          issuance of bonds payable
                             7,756,810,000       2,733,112,000 
          increase in guarantee deposits received
                             1,320,000        
          net changes in capital lease obligations
                                     
          cash dividends, net of cash dividends received by subsidiaries
                                     
          repurchase of treasury stock
                                     
          increase in minority interest
                              -22,052,000       
          effect of exchange rate changes
                              311,753,000    3,384,000 48,574,000 179,163,000 
          interest paid excluding capitalized interest
                                     
          purchase of property, plant and equipment
                                     
          decrease in payable for properties
                                     
          current portion of capital lease obligations
                                 36,579,000    
          payable to minority interest
                                     
          foreign exchange loss on long-term bank loans
                             377,150,000        
          proceeds from disposal of equity method investments
                               20,814,031,000 20,814,031,000     
          increase in deferred charges
                             -294,761,000  -256,365,000 -256,365,000     
          increase in restricted assets
                             -300,000 -3,528,000       
          acquisition of intangible assets
                             -7,500,000 -7,554,000       
          repayments of capital lease obligations
                             -1,543,000        
          net decrease in cash
                             -156,473,000    -287,786,000    
          acquisition of bond investments with no active market
                                     
          proceeds from disposal of bond investments with no active market
                                     
          proceeds from
                                     
          repayments of long-term bank loans and net changes in capital lease obligations
                                     
          increase in payable
                                     
          other
                              120,944,000 376,609,000 376,609,000 169,193,000 164,331,000 142,010,000 34,699,000 
          other receivable
                              -9,847,000    77,032,000   
          construction in progress related to property development
                                     
          cash received from disposal of financial assets carried at cost
                                     
          decrease in other receivable
                                     
          decrease in land use rights
                                     
          repayments of long-term bank loans and capital lease obligations
                              -14,996,674,000       
          decrease in guarantee deposits received
                              -7,524,000 -121,000 -121,000     
          cash and cash equivalents, beginning of period
                              23,397,557,000       
          cash and cash equivalents, end of period
                              26,958,770,000       
          compensation cost of share-based payments
                                     
          provision for inventory valuation
                               112,025,000 112,025,000 267,663,000    
          cash received from return of capital on financial assets carried at cost
                                     
          cash received from return of capital on equity method investments
                                     
          repayment of long-term bank loans
                               -28,263,090,000 -28,263,090,000     
          repayment of capital lease obligations
                               -18,413,000 -18,413,000     
          increase in guarantee deposits
                              -25,315,000    -27,909,000   
          increase in short-term borrowings
                              8,036,776,000       
          proceeds from disposal of held-to-maturity financial assets
                                     
          compensation to directors and supervisors and bonus to employees
                                 -835,028,000 -9,536,000   
          cash and cash equivalents, beginning of year
                                     
          cash and cash equivalents, end of year
                                     
          decrease in payable
                                -1,263,941,000  -829,371,000   
          increase in capital lease obligations
                                     
          equity in earnings of equity method investments, net of cash dividends of nt 1,784,475 thousand and nt 805,103 thousand received in 2009 and 2008, respectively
                               -977,761,000 -977,761,000     
          proceeds from disposal of bonds investments with no active market
                               450,000,000 450,000,000     
          increase in equity method investments
                               -23,614,725,000 -23,614,725,000 -711,180,000 -1,571,909,000   
          cash received from return of capital on long-term investments
                                 837,213,000    
          increase in patents
                                     
          decrease (increase) in guaranteed deposits
                               2,768,000      
          decrease (increase) in restricted assets
                               -300,000   1,151,000   
          increase in other receivables from related parties
                               -450,000,000 -450,000,000     
          cash bonus to employees, remuneration to directors and supervisors
                                     
          decrease
                               -1,263,941,000  -257,379,000 -180,435,000   
          cash received from disposal of equity method investments
                                     
          decrease in guaranteed deposits
                                2,768,000     
          equity in earnings of equity method investees, net of cash dividends of nt154,517 thousand, nt292,094 thousand and nt82,299 thousand (us2,576 thousand) received in 2007, 2008 and 2009, respectively
                                     
          accrued interest on convertible bonds
                                     
          accrued expenses and other current liabilities
                                     
          decrease (increase) in guarantee deposits
                                 208,851,000    
          acquisition of patents
                                     
          acquisition of land use rights
                                     
          proceeds from long-term debts
                                  10,690,000,000   
          repayments of long-term debts and capital lease obligations
                                     
          increase (decrease) in guarantee deposits received
                                 -130,435,000    
          decrease in collection of accounts receivable sold
                                     
          decrease (increase) in payable
                                     
          decrease (increase) in other receivables
                                     
          equity in earnings of equity method investees, net of cash dividends of 805,103 thousand and 167,629 thousand received in 2008 and 2007, respectively
                                     
          receivable for income tax refund and other receivables
                                     
          supplemental cash flow information
                                     
          bonds converted to capital stock
                                     
          current portion of bonds payable
                                 1,375,000,000    
          cumulative effect of changes in accounting principles
                                     
          equity in earnings of equity method investees, net of cash dividends of nt92,807 thousand, nt154,517 thousand and nt292,094 thousand received in 2006, 2007 and 2008, respectively
                                     
          gain on insurance settlement and impairment recovery
                                     
          proceeds from insurance claims
                                  4,902,944,000 2,287,580,000  
          increase (decrease) in collection of accounts receivable sold
                                 -2,218,321,000    
          effect of first inclusion for consolidation of a subsidiary
                                     
          cumulative effect of changes in accounting priciples
                                     
          equity in earnings of equity method investees, net of cash dividends received
                                 -3,053,701,000    
          accrued interest on foreign convertible bonds
                                 177,111,000 247,155,000  255,172,000 
          prepayments and other current assets
                                 48,508,000 29,532,000 242,408,000  
          cash payment due to business separation
                                  -153,241,000   
          disposal of available-for-sale financial assets
                                 10,431,560,000 4,302,212,000   
          disposal of financial assets carried at cost
                                 27,205,000    
          proceeds from sales of property, plant and equipment
                                 827,483,000    
          increase in intangible assets
                                 -6,595,000    
          increaase in other assets
                                 -375,109,000    
          repayments of short-term borrowings
                                     
          repayments of long-term debts
                                 -3,745,292,000 -21,916,015,000   
          decrease in capital leases obligations
                                 -48,242,000    
          proceeds from exercise of stock option by employees
                                 1,024,192,000 848,590,000   
          disposal of property, plant and equipment
                                 1,051,396,000    
          increase in receivable
                                 -223,913,000    
          non-cash flows from financing activities
                                     
          conversion of convertible bonds
                                 1,730,726,000    
          loss on fire damage
                                  -3,540,364,000 6,886,154,000  
          amortization of goodwill
                                     
          proceeds from return of capital by equity method investments
                                     
          proceeds from disposal of discontinued operations
                                     
          foreign convertible bonds
                                     
          increase (decrease) in payable
                                     
          cash received from disposal of discontinued operations
                                     
          sales price
                                     
          cash paid for acquisition of subsidiaries
                                     
          fair value of assets acquired from top master enterprises limited
                                     
          less: fair value of liabilities from tme
                                     
          net fair value
                                     
          less: cash received at acquisition
                                     
          net cash outflow
                                     
          fair value of assets acquired from asen semiconductors co., ltd.
                                     
          less: fair value of liabilities from asen
                                     
          allocated to minority interest
                                     
          cumulative effect of changes in accounting principle
                                  343,006,000   
          provision (reversal) for doubtful accounts and sales allowance
                                  -10,465,000   
          allowance for inventory valuation
                                  868,801,000 544,486,000 45,300,000 
          loss on disposal of properties
                                  59,612,000 61,572,000 17,624,000 
          loss (gain) on disposal of available-for -sale financial assets
                                  -18,732,000   
          equity in losses of equity method investees
                                  -5,102,708,000   
          unrealized exchange loss on foreign convertible bonds payable and accrued interest
                                  -52,213,000   
          accrued pension cost
                                  7,198,000 162,336,000  
          other payable
                                  -197,738,000   
          acquisition of properties, plant and equipment
                                  -9,024,363,000   
          cash received from return of capital on long-term investment
                                  3,099,656,000 53,300,000 405,000,000 
          proceeds from sales of property, plants and equipments
                                  184,553,000   
          proceeds from (repayment of) short-term borrowings
                                  -2,480,008,000   
          increase in collection of accounts receivable sold
                                  1,475,453,000   
          decrease (increase) in guarantee deposits received
                                  179,497,000   
          decrease in capital lease obligations
                                  -226,545,000   
          redemption of payable bonds
                                     
          less capitalized interest
                                  57,081,000 98,162,000 140,757,000 
          disposal of properties, plants and equipments
                                  364,988,000   
          equity in losses of equity method investees, net of cash dividends received
                                     
          impairment of goodwill
                                     
          other investment loss
                                    493,380,000 
          unrealized exchange loss on long-term foreign bonds payable and accrued interest
                                     
          provision (reversal) for doubtful accounts and sales allowances
                                     
          gain on disposal of discontinued operations
                                     
          decrease (increase) in pledged time deposits and restricted assets
                                     
          acquisition of long-term equity method investments
                                     
          proceeds from sales of:
                                     
          purchase of ase japan co., ltd. shares
                                     
          purchase of ase (u.s.) inc. shares
                                     
          purchase of ase test limited shares
                                     
          increase in land use rights
                                     
          issuance of domestic secured bonds
                                     
          investment payable
                                     
          commercial papers and bank acceptances payable
                                     
          cash received from issuance of domestic secured bonds
                                     
          proceeds
                                     
          issuance expense
                                     
          adjustments to reconcile net income to net cash from operating
                                     
          provision for doubtful accounts and sales allowance
                                   43,288,000 64,670,000 
          investment loss under equity method
                                   55,895,000  
          accrued interests on foreign convertible bonds
                                   241,394,000  
          unrealized exchange loss on foreign convertible bonds payable
                                     
          and accrued interests
                                   215,762,000  
          cash dividends received from long-term stock investments
                                   60,784,000 57,814,000 
          valuation loss on derivative financial instruments
                                     
          notes receivable
                                   5,734,000 15,285,000 
          decrease in short-term investments
                                   4,314,000 155,469,000 
          acquisition of properties
                                    12,896,369,000 
          increase in long-term investments
                                     
          proceeds from sales of properties
                                   273,618,000 67,602,000 
          repayments of commercial papers
                                     
          proceeds from sale of account receivable
                                   742,868,000  
          proceeds from long-term loans
                                   15,979,007,000 8,956,046,000 
          repayments of long-term loans
                                     
          redemption of foreign convertible bonds
                                     
          issuance of common stock from exercise of stock option by employees
                                   322,334,000  
          capital received in advance
                                   156,228,000 42,759,000 
          effect of exchange rate changes on cash
                                     
          cash received from the merger of subsidiaries
                                    305,165,000 
          supplemental disclosures of cash flow information
                                     
          interest paid, excluding capitalized interest
                                   1,127,563,000 515,139,000 
          cash paid for acquisition of properties
                                     
          increase in payable for properties
                                     
          cash received from sales of properties
                                     
          sales of properties
                                   263,605,000 111,716,000 
          decrease in receivable
                                   10,013,000  
          cash received through the issuance of bonds payable
                                     
          net proceeds
                                    2,750,000,000 
          adjustments to reconcile net income to net cash from
                                     
          operating activities:
                                     
          equity in earnings of equity method investees
                                     
          exchange loss on:
                                     
          long-term foreign bonds payable
                                     
          long-term foreign investment payable
                                     
          gain on sale of investments
                                     
          loss on early redemption of foreign convertible bonds
                                     
          loss from sale of treasury stock
                                     
          increase in short-term investments
                                     
          decrease in pledged time deposits
                                     
          payments for long-term investments
                                     
          purchase of ase material inc. shares
                                     
          the issuance of foreign convertible bonds
                                     
          the issuance of domestic secured bonds
                                     
          proceeds from sales of ase inc. shares
                                     
          early redemption of foreign convertible bonds
                                     
          effect of exchange rate changes on cash and cash
                                     
          increase in obligation under capital leases
                                     
          cash received from issuance of foreign convertible bonds
                                     
          net cash inflow
                                     
          adjustments to reconcile net income to net cash from operating activities
                                     
          investment loss under the equity method
                                    549,628,000 
          exchange gain on foreign convertible bonds payable and accrued interest
                                     
          net loss on derivative financial instruments
                                    308,138,000 
          prepayments and other
                                     
          proceeds from commercial papers
                                     
          issuance of foreign convertible bonds payable
                                     
          increase in receivable - related parties
                                     
          increase in accrued expenses
                                     
          non-cash flows from investing and financing activities
                                     
          current portion of long-term loans
                                    188,230,000 
          current portion capital leases obligation
                                    1,117,799,000 
          short-term loan transferred to long-term loan
                                    4,010,781,000 
          reversal of treasury stock due to sale of the company’s shares which are
                                     
          held by subsidiaries
                                     
          reclassification of the company’s shares which are held by subsidiaries
                                     
          from long-term investment to treasury stock
                                    2,798,399,000 
          unrealized holding loss on hedges of a net investment in a foreign operation
                                     
          and cash flow hedges
                                    36,607,000