2018 investor conference±鋼... · (expressed in millions of new taiwan dollars) 2018 2017 cash at...

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2018 Investor Conference Dec.19,2018 Ticker Symbol 2006

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Page 1: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

2018 Investor Conference

Dec.19,2018

Ticker Symbol :2006

Page 2: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

律己.愛智.樂觀律己.愛智.樂觀

Disclosure• The information contained in this presentation and its accompanying announcements,

including its business outlook, financial position and business forecasts, is based oninternal information and external economic developments as a whole.

• The Company’s actual results of operations, financial condition and results ofoperations may differ from the forecasted information, which may be due to variousfactors including but not limited to market demand, changes in various policies andregulations and the overall economic situation, and other factors or risks theCompany can not control.

• The information provided in this presentation reflects the Company’s views about thefuture so far as not expressly or implicitly expressed or warranted as to its correctness,completeness, or reliability. The contents of the presentation, if any changes oradjustments occur in the future, the Company is not responsible for updates oramendments.

• For the convenience of readers, this presentation has been translated into Englishfrom the original Chinese version. If there is any conflict between the English versionand the original Chinese version or any difference in the interpretation of the twoversions, the Chinese-language presentation shall prevail.

Page 3: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

Agenda

1. Corporate Profile

2. Financial Performance

3. Key Messages

4. Q&A

Page 4: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

Corporate Profile

• Date of incorporation : May 30, 1962

• Date of IPO :July 13,1988

• Issued common stock : 1,004,060 thousand shares

• Number of employees: 1,644

• Head Office:6F., No.9, Sec. 1, Chang-an E. Rd., Taipei City, Taiwan

• Corporate culture :Self-discipline. Love of knowledge. Optimism.

Page 5: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

ScrapPig Iron

Billets

Bloom

Beam Blank

Slab

Taoyuan Works

Steel Making

Steel Making

Steel Rolling(1)

Steel Rolling

Steel Rolling

Re-Bar75萬噸

40萬噸

80萬噸

Annual Capacity

Steel Rolling(2)

Steel Making Steel RollingSection

Re-Bar60萬噸

75萬噸

140萬噸

125萬噸

100萬噸

Facilities and Products

MiaoliWorks

KaohsiungWorks

Vietnam Works

ScrapPig Iron

ScrapPig Iron Billets

Annual Capacity

Section

Section

Page 6: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

Agenda

1. Corporate Profile

2. Financial Performance

3. Key Messages

4. Q&A

Page 7: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

2018 2017 %

Operating revenue,net 29,883.59 22,531.84 132.63%

Operating costs (27,367.49) (19,842.18) 137.93%

Gross profit,net 2,516.10 2,689.66 93.55%

Operating expenses,net (1,478.15) (1,466.41) 100.80%

Operating profits 1,037.95 1,223.25 84.85%

Non operating income and expenses (22.45) 119.18 -18.84%

Income tax expense (227.00) (179.98) 126.13%

Net income 788.50 1,162.45 67.83%

attributable to owners of parent 789.51 1,171.72 67.38%

Non controlling interests (1.01) (9.27) 10.90%

Earnings per share 0.79 1.17

Gross profit ratio (%) 8.42% 11.94%

Operating profit ratio (%) 4.95% 5.43%

Net profit ratio (%) 2.64% 5.16%

For the nine months ended Sep. 30

(Expressed in Millions of New Taiwan Dollars)

Consolidated Statements of Comprehensive Income

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(Expressed in Millions of New Taiwan Dollars) AMT % AMT % AMT %

Current assets 19,235.68 42% 14,835.35 36% 13,939.24 35%

Cash and Current financial assets 1,188.82 3% 1,206.82 3% 1,030.30 3%

Receivable,net 4,801.69 10% 4,788.48 12% 4,192.93 10%

Inventory 12,291.84 27% 8,175.73 20% 7,903.69 20%

other current assets 953.33 2% 664.32 2% 812.32 2%

Non current assets 26,989.33 58% 26,462.04 64% 26,259.21 65%

Real properties, plants and devices 20,419.18 45% 20,582.55 50% 20,419.18 50%

other non current assets 6,570.15 13% 5,879.49 14% 5,840.03 15%

Total assets 46,225.01 100% 41,297.39 100% 40,198.45 100%

Current liabilities 16,017.81 34% 13,268.07 32% 12,719.37 32%

Short term loans 11,564.80 25% 8,898.11 22% 8,371.66 21%

other current liabilities 4,453.01 9% 4,369.96 12% 4,347.71 10%

Non-current liabilities 6,338.06 14% 3,996.29 10% 3,931.22 10%

Total liabilities 22,355.87 48% 17,264.36 42% 16,650.60 41%

Total equity 23,869.14 52% 24,033.03 58% 23,547.85 59%

Total liabilities & equity 46,225.01 100% 41,297.39 100% 40,198.45 100%

2018.9.30 2017.12.31 2017.9.30

Consolidated Balance Sheets

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(Expressed in Millions of New Taiwan Dollars)

2018 2017

Cash at beginning of period 1,020.46 2,088.48

Cash flows from operating activities (2,416.78) (356.53)

Cash flows from investing activities (1,202.26) (3,166.95)

Cash flows from financing activities 3,735.45 2,103.93

Effect of exchange rate changes (117.16) 174.23

Cash at beginning of period 1,019.71 843.16

Free Cash flows (3,619.04) (3,523.48)

Cash dividends paid 1,405.69 1,297.69

For the nine months ended Sep. 30

Consolidated Statements of Cash Flows

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10

(Expressed in Millions of New Taiwan Dollars) For the nine months ended Sep. 30

2017 2016

2,088.48 3,993.89

Cash flows from operating activities (356.53) 1,849.12

Cash flows from investing activities (3,166.95) (2,137.76)

Cash flows from financing activities 2,103.93 (1,877.32)

Effect of exchange rate changes 174.23 (41.54)

843.16 1,786.39

Free Cash flows (3,523.48) (288.64)

Cash dividends paid 1,297.69 1,098.04

Cash at beginning of period

Cash at beginning of period

Consolidated Statements of Cash Flows

Page 11: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

0

5,000

10,000

15,000

20,000

25,000

30,000

35,000

40,000

2013 2014 2015 2016 2017 2018/1~9

Operating revenue

0

500

1,000

1,500

2,000

2,500

3,000

3,500

4,000

2013 2014 2015 2016 2017 2018/1~9

Gross profit

0

500

1,000

1,500

2,000

2,500

2013 2014 2015 2016 2017 2018/1~9

Operating income

0

500

1,000

1,500

2,000

2,500

2013 2014 2015 2016 2017 2018/1~9

Net income attributable to owners of parent

Historical Operating Results(NT$Millions)

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■Earnings per share ■ Dividend per share

0.00

0.50

1.00

1.50

2.00

2.50

2013 2014 2015 2016 2017

每股盈餘 每股股利

(NT$)

Historical Dividend

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13

Agenda

1. Corporate Profile

2. Financial Performance

3. Key Messages

4. Q&A

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14

Key Messages

1. Improvement of Taoyuan Works’ capabilities

and efficiency

2. THSVC new rolling mill put into production

3. An Associate Member WSA

Page 15: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

Steel Making

Rolling LINE 1

Rolling LINE 2

Improvement of Taoyuan Works’ capabilities and efficiency

130-140萬噸

75-80萬噸

75-80萬噸

Annual Capacity

Page 16: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

74.06

63.04

72.93

80.35

89.33 85.00

91.99 88.33

66.85 70.85

93.49

2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018(估)

10k metric tons

Tung Ho Steel’ annual rebar production

Improvement of Taoyuan Works’ capabilities and efficiency

Page 17: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

Floor area of building permit(Million m2)

*依1-8月統計數據推估

26.2

19.9

31.2

34.132.8

39.838.6

32.6

26.2

29.932.3

2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018*

4.85 3.90 4.99 5.66 5.73 5.79 6.06 5.65 4.77 4.71 4.99台灣鋼筋年需求量(百萬噸)

Improvement of Taoyuan Works’ capabilities and efficiency

Page 18: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

Billet

Steel Making Rebar

Section steel

100萬噸 60萬噸

Wire rod coil

Products

40萬噸

THSVC new rolling mill put into production

Annual Capacity

Page 19: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

Annual Demand of long steel products in Vietnam domestic market

THSVC new rolling mill put into production

383 352 356

407

512

626

675

717

2011 2012 2013 2014 2015 2016 2017 2018(估)

10k metric tons

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• Tung Ho Steel’ 2017 raw steel production has already passed the 1.8 million

metric tons cut-off level enabling us to qualify as a Regular Member of

worldsteel.

• Access the worldsteel extranet to members that provides details of all

programmers, activities, campaigns and network with other steel industry

professionals

• The worldsteel Climate Action Recognition Programmme recognizes steel

producers that have fulfilled their commitment to participate in the worldsteel

CO2 emissions data collection programmer.

An Regular Member of WSA

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28

An Regular Member of WSA

Page 29: 2018 Investor Conference±鋼... · (Expressed in Millions of New Taiwan Dollars) 2018 2017 Cash at beginning of period 1,020.46 2,088.48 Cash flows from operating activities (2,416.78)

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