TSMC Reports Fourth Quarter EPS of NT$0.48

 (Expressed in Millions of New Taiwan Dollars (NTD) and U.S. Dollars (USD)) (1)


                            Twelve Months 2008   4Q 2008   3Q 2008    4Q 2007
                                (audited)     (unaudited)(unaudited)(unaudited)

                                 USD      NTD       NTD       NTD      NTD
    Cash Flows from Operating
     Activities:
     Net Income                $3,182   $99,933   $12,446   $30,574  $34,485
     Net Income Attributable
      to Minority Interest         19       590       196       198      239
     Depreciation &
      Amortization              2,595    81,512    20,961    20,686   20,281
     Deferred Income Tax           73     2,279       154       410      877
     Equity in Loss
      (Earnings) of Equity
      Method Investees, Net       (22)     (702)      340      (185)    (877)
     Changes in Working
      Capital & Others          1,206    37,882    29,147     4,220    4,754
     Net Cash Provided by
      Operating Activities      7,053   221,494    63,244    55,903   59,759

    Cash Flows from Investing
     Activities:
      Acquisitions of:
       Marketable Financial
        Instruments            (3,241) (101,797)  (33,059)  (40,201) (32,478)
       Investments
        Accounted for Using
        Equity Method              (2)      (56)       (1)      (55)       6
       Property, Plant and
        Equipment              (1,886)  (59,223)  (11,258)  (10,378) (19,781)
       Financial Assets
        Carried at Cost           (15)     (463)      (73)      (87)    (103)
      Proceeds from Disposal
       or Maturity of:
       Marketable Financial
        Instruments             4,908   154,150    63,368    22,126   40,680
       Property, Plant and
        Equipment                   6       195        24       140       34
       Financial Assets
        Carried at Cost             6       199        73        --      141
      Others                      (33)   (1,047)   (1,061)    1,930   (1,160)
      Net Cash Provided by
       (Used In) Investing
       Activities                (257)   (8,042)   18,013   (26,525) (12,661)

    Cash Flows from Financing
     Activities:
      Decrease in Guarantee
       Deposits                   (24)     (759)     (140)      (83)    (321)
      Proceeds from Exercise
       of Stock Options             7       227         5        51       35
      Bonus Paid to Directors
       and Supervisors             (6)     (177)       --      (177)      --
      Repayment of Long-Term
       Bonds Payable               --        --        --        --   (4,500)
      Cash Dividends Paid for
       Common Stock            (2,445)  (76,779)       --   (76,779)      --
      Repurchase of Treasury
       Stock                   (1,066)  (33,481)       --   (23,812) (45,413)
      Cash Bonus Paid to
       Employees                 (125)   (3,940)       --    (3,940)      --
      Others                      (15)     (484)     (163)     (222)      90
      Net Cash Used in
       Financing Activities    (3,674) (115,393)     (298) (104,962) (50,109)

    Net Increase (Decrease) in
     Cash and Cash Equivalents  3,122    98,059    80,959   (75,584)  (3,011)

    Effect of Exchange Rate
     Changes and Others            51     1,569     1,209     2,684     (331)

    Cash and Cash  Equivalents
          at  Beginning  of  Period          3,024        94,986      112,446      185,346      98,328

        Cash  and  Cash  Equivalents
          at  End  of  Period                    $6,197    $194,614    $194,614    $112,446    $94,986


        Note:  (1)  Amounts  in  New  Taiwan  dollars  have  been  translated  into  U.S.
                            dollars  at  the  weighted  average  rate  of  NTD  31.406  for  the  year
                            ended  December  31,  2008.



 


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