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Chunghwa Telecom CHT

US equityMarket cap rank #401
$45.30 −$0.18 (-0.40%)
Market open · Oct 1, 1:10 pm ET · After hours $45.48 0.00%
Open$45.61
Prev close$45.48
Day range$45.26 – $45.63
Volume51.2K
Market cap$35.14B
P/E (TTM)29.0
Dividend yield–

Fundamentals

Latest reported quarter: Q2, ended Jun 2026 · reported in TWD

RevenueNT$60.99B+8.1% YoY
Operating profitNT$13.26B+5.7% YoY
Net profitNT$11.27B+6.2% YoY
Diluted EPSNT$13.70+4.6% YoY
Free cash flowNT$15.21B+62.2% YoY
Operating cash flowNT$20.64B

Revenue, last 8 quarters

NT$55.3BSep '24NT$64.7BDec '24NT$55.4BMar '25NT$56.4BJun '25NT$57.6BSep '25NT$65.3BDec '25NT$59.7BMar '26NT$61.0BJun '26

Net profit, last 8 quarters

NT$9.3BSep '24NT$9.5BDec '24NT$10.2BMar '25NT$10.6BJun '25NT$9.9BSep '25NT$9.8BDec '25NT$10.6BMar '26NT$11.3BJun '26

Diluted EPS by quarter

11.60Sep '2411.50Dec '2412.60Mar '2513.10Jun '2512.20Sep '2512.00Dec '2513.00Mar '2613.70Jun '26

Free cash flow by quarter

NT$14.4BSep '24NT$11.0BDec '24NT$7.2BMar '25NT$9.4BJun '25NT$10.0BSep '25NT$23.0BDec '25NT$6.2BMar '26NT$15.2BJun '26

Annual revenue

NT$207.4BFY20NT$209.4BFY21NT$215.7BFY22NT$221.5BFY23NT$228.6BFY24NT$234.8BFY25

Profitability & balance sheet

Gross margin36.1%
Operating margin20.5%
Net margin16.2%
Return on equity10.8%
Return on assets7.2%
Return on invested capital9.6%
Current ratio1.22
Liabilities / assets31.0%
Cash & investmentsNT$79.57B
Total debtNT$34.10B
Net cash (debt)NT$45.46B
Free cash flow / sales22.4%

This company reports in its own local currency, not U.S. dollars. Every figure below is labeled with its real currency, not automatically converted.

Income statement

Line item 2026 Q2
(TWD)
2026 Q1
(TWD)
2025 ANNUAL
(TWD)
2025 Q4
(TWD)
2025 Q3
(TWD)
Total Revenue as Reported NT$61.36B NT$59.99B NT$236.11B NT$65.65B NT$57.92B
Total Operating Revenue NT$60.99B NT$59.67B NT$234.75B NT$65.32B NT$57.60B
Cost of Revenue NT$38.33B NT$37.24B NT$149.15B NT$43.57B NT$36.41B
Gross Profit NT$22.66B NT$22.43B NT$85.61B NT$21.75B NT$21.19B
Operating Expense NT$9.41B NT$9.33B NT$36.95B NT$10.25B NT$9.09B
Selling and Admin Expenses NT$8.63B NT$8.40B NT$33.74B NT$9.51B NT$8.16B
-Selling & Marketing Expense NT$6.71B NT$6.43B NT$26.02B NT$7.12B NT$6.39B
-General & Admin Expense NT$1.92B NT$1.97B NT$7.72B NT$2.39B NT$1.77B
Research & Development NT$1.14B NT$1.11B NT$4.36B NT$1.13B NT$1.10B
Depreciation & Amortization & Depletion NT$35.57M – – – NT$39.11M
-Depreciation & Amortization NT$35.57M – – – NT$39.11M
Asset Impairment Loss -NT$36.49M NT$132.07M NT$209.00M NT$48.07M NT$112.53M
Other Operating Expenses -NT$371.23M -NT$318.63M -NT$1.36B -NT$326.89M -NT$322.03M
Operating Profit NT$13.26B NT$13.10B NT$48.66B NT$11.50B NT$12.10B
Net Non-Operating Interest Income (Expense) NT$215.11M NT$95.35M NT$534.00M NT$111.96M NT$89.75M
Non-Operating Interest Income NT$320.47M NT$197.86M NT$904.00M NT$209.28M NT$180.89M
Non-Operating Interest Expense NT$105.36M NT$102.52M NT$370.00M NT$97.32M NT$91.14M
Other Income (Expense) NT$478.83M -NT$17.22M NT$1.07B NT$566.41M NT$70.15M
Gain on Sale of Security NT$436.81M -NT$37.43M NT$195.00M -NT$40.86M -NT$42.35M
Earnings from Equity Interest NT$10.99M -NT$14.98M NT$65.00M -NT$30.77M NT$58.55M
Special Income (Charges) NT$2.57M NT$1.93M NT$636.00M NT$612.49M NT$2.00M
-Gain on Sale Of Business NT$0.00 NT$0.00 NT$748.00M NT$732.71M -NT$2,000.00
-Gain on Sale of Property/Plant/Equipment NT$2.57M NT$1.93M -NT$28.00M -NT$36.22M NT$2.01M
Other Non-Operating Income (Expenses) NT$28.46M NT$33.25M NT$176.00M NT$25.55M NT$51.94M
Pretax Profit NT$13.95B NT$13.18B NT$50.27B NT$12.18B NT$12.26B
Tax NT$2.69B NT$2.57B NT$9.78B NT$2.34B NT$2.40B
Net Profit NT$11.27B NT$10.61B NT$40.49B NT$9.84B NT$9.85B
Profit from Continuing Operations NT$11.27B NT$10.61B NT$40.49B NT$9.84B NT$9.85B
Minority Interests NT$624.77M NT$497.79M NT$1.79B NT$537.17M NT$414.75M
Net Income to Parent Company NT$10.64B NT$10.11B NT$38.71B NT$9.30B NT$9.44B
Net Income to Common Stockholders NT$10.64B NT$10.11B NT$38.71B NT$9.30B NT$9.44B
Basic EPS NT$13.80 NT$13.00 NT$49.90 NT$12.00 NT$12.20
Diluted EPS NT$13.70 NT$13.00 NT$49.80 NT$12.00 NT$12.20
Dividend Per Share NT$0.00 NT$0.00 NT$48.65 NT$0.00 NT$0.00
-Less:Impairment of Capital Assets – – NT$84.00M – –

Balance sheet

Line item 2026 Q2
(TWD)
2026 Q1
(TWD)
2025 ANNUAL
(TWD)
2025 Q4
(TWD)
2025 Q3
(TWD)
Total Assets NT$553.63B NT$547.81B NT$535.68B NT$535.68B NT$513.10B
Total Current Assets NT$143.77B NT$134.46B NT$117.37B NT$117.37B NT$99.79B
Cash and Cash Equivalents & Short-Term Investments NT$79.57B NT$66.74B NT$58.59B NT$58.59B NT$40.11B
-Cash and Cash Equivalents NT$42.22B NT$35.23B NT$36.94B NT$36.94B NT$23.53B
-Short Term Investments NT$37.34B NT$31.51B NT$21.65B NT$21.65B NT$16.59B
Receivables NT$36.80B NT$40.25B NT$38.03B NT$38.03B NT$35.71B
-Accounts Receivable NT$25.92B NT$29.15B NT$27.40B NT$27.40B NT$26.52B
-Due from Related Parties Current NT$145.77M NT$178.08M NT$213.00M NT$213.00M NT$234.09M
-Other Receivables NT$10.74B NT$10.93B NT$10.42B NT$10.42B NT$8.95B
Prepaid Assets NT$6.51B NT$8.20B NT$3.79B NT$3.79B NT$6.42B
Inventory NT$20.26B NT$17.53B NT$15.32B NT$15.32B NT$15.89B
Current Deferred Assets NT$339.77M NT$338.58M NT$339.00M NT$339.00M NT$338.58M
Other Current Assets NT$288.75M NT$1.40B NT$1.30B NT$1.30B NT$1.31B
Total Non-Current Assets NT$409.86B NT$413.35B NT$418.31B NT$418.31B NT$413.31B
Net PPE NT$290.98B NT$293.31B NT$298.93B NT$298.93B NT$294.79B
-Gross PPE NT$963.86B NT$962.76B NT$966.16B NT$966.16B NT$963.25B
-Accumulated Depreciation -NT$672.88B -NT$669.45B -NT$667.23B -NT$667.23B -NT$668.45B
Investments and Advances NT$19.85B NT$19.65B NT$19.28B NT$19.28B NT$18.73B
-Available for Sale Securities NT$9.82B NT$9.73B NT$9.81B NT$9.81B NT$8.68B
-Long Term Equity Investment NT$8.57B NT$8.68B NT$8.26B NT$8.26B NT$8.82B
Non Current Accounts Receivables NT$4.85B NT$4.83B NT$4.73B NT$4.73B NT$4.48B
Non-Current Prepaid Assets NT$8.27B NT$3.06B NT$3.72B NT$3.72B NT$3.03B
Goodwill and Other Intangible Assets NT$56.62B NT$63.34B NT$64.60B NT$64.60B NT$65.99B
-Goodwill NT$217.58M NT$217.58M NT$217.00M NT$217.00M NT$217.58M
-Other Intangible Assets NT$56.40B NT$63.12B NT$64.39B NT$64.39B NT$65.77B
Defined Pension Benefit NT$10.16B NT$10.02B NT$9.87B NT$9.87B NT$9.37B
Non-Current Deferred Assets NT$2.83B NT$2.85B NT$2.89B NT$2.89B NT$2.86B
Other Non-Current Assets NT$2.21B NT$2.19B NT$1.87B NT$1.87B NT$1.74B
Total Liabilities NT$171.55B NT$136.38B NT$137.21B NT$137.21B NT$122.67B
Total Current Liabilities NT$117.47B NT$81.80B NT$81.07B NT$81.07B NT$66.52B
Payables NT$71.04B NT$34.68B NT$36.76B NT$36.76B NT$27.40B
-Accounts Payable NT$11.46B NT$13.85B NT$15.92B NT$15.92B NT$13.47B
-Total Tax Payable NT$5.69B NT$7.73B NT$7.35B NT$7.35B NT$3.00B
-Dividends Payable NT$40.34B – – – –
-Due to Related Parties Current NT$120.98M NT$143.99M NT$177.00M NT$177.00M NT$121.25M
-Other Payable NT$13.43B NT$12.96B NT$13.32B NT$13.32B NT$10.81B
Current Accrued Expenses NT$8.62B NT$9.60B NT$15.40B NT$15.40B NT$10.16B
Short-Term Debt and Capital Lease Obligation NT$8.39B NT$9.89B NT$6.13B NT$6.13B NT$6.47B
-Current Debt NT$4.29B NT$5.94B NT$2.24B NT$2.24B NT$2.65B
-Current Capital Lease Obligation NT$4.10B NT$3.95B NT$3.89B NT$3.89B NT$3.81B
Current Provisions NT$548.20M NT$541.39M NT$525.00M NT$525.00M NT$437.01M
Current Deferred Liabilities NT$23.56B NT$22.65B NT$21.30B NT$21.30B NT$19.01B
Other Current Liabilities NT$1.17B NT$951.29M NT$957.00M NT$957.00M NT$958.08M
Total Non-Current Liabilities NT$54.08B NT$54.58B NT$56.14B NT$56.14B NT$56.15B
Long Term Debt and Capital Lease Obligation NT$29.81B NT$29.86B NT$31.89B NT$31.89B NT$32.11B
-Long Term Debt NT$23.03B NT$23.29B NT$24.89B NT$24.89B NT$24.89B
-Long Term Capital Lease Obligation NT$6.78B NT$6.57B NT$7.00B NT$7.00B NT$7.23B
Non-Current Liabilities NT$588.69M NT$563.06M NT$560.00M NT$560.00M NT$318.78M
Non-Current Deferred Liabilities NT$14.59B NT$14.76B NT$14.66B NT$14.66B NT$14.57B
Employee Benefits NT$2.38B NT$2.36B NT$2.33B NT$2.33B NT$2.15B
Other Non-Current Liabilities NT$6.71B NT$7.03B NT$6.70B NT$6.70B NT$7.00B
Total Equity NT$382.08B NT$411.43B NT$398.47B NT$398.47B NT$390.43B
Stockholders' Equity NT$366.63B NT$396.31B NT$384.13B NT$384.13B NT$376.61B
Capital Stock NT$77.57B NT$77.57B NT$77.57B NT$77.57B NT$77.57B
-Common Stock NT$77.57B NT$77.57B NT$77.57B NT$77.57B NT$77.57B
Additional Paid-In Capital NT$172.57B NT$172.47B NT$150.92B NT$150.92B NT$172.12B
Retained Earnings NT$115.63B NT$145.32B NT$154.61B NT$154.61B NT$125.82B
Other Equity Interests NT$861.78M NT$941.51M NT$1.02B NT$1.02B –
Minority Interests NT$15.45B NT$15.12B NT$14.34B NT$14.34B NT$13.82B
Gains/Losses Not Affecting Retained Earnings – – – – NT$1.10B

Cash flow

Line item 2026 Q2
(TWD)
2026 Q1
(TWD)
2025 ANNUAL
(TWD)
2025 Q4
(TWD)
2025 Q3
(TWD)
Operating Cash Flow NT$20.64B NT$11.10B NT$77.45B NT$31.99B NT$16.17B
Net cash flow from continuing operations NT$20.64B NT$11.10B NT$77.45B NT$31.99B NT$16.17B
Net Income from Continuing Operations NT$13.95B NT$13.18B NT$50.27B NT$12.18B NT$12.26B
Gain/Loss from Continuing Operations -NT$347.35M NT$12.38M -NT$1.07B -NT$666.06M -NT$65.74M
Depreciation & Depletion & Amortization NT$10.25B NT$10.20B NT$40.22B NT$10.16B NT$10.01B
Other Non-Cash Items NT$46.78M NT$87.71M NT$391.00M NT$109.33M NT$193.92M
Change in Working Capital NT$1.69B -NT$12.47B -NT$3.20B NT$10.21B -NT$1.51B
-Change in Receivables NT$3.18B -NT$2.17B -NT$2.19B -NT$1.65B -NT$3.17B
-Change in Inventory -NT$2.69B -NT$1.74B -NT$1.13B NT$50.52M -NT$1.30B
-Change in Prepaid Assets NT$1.66B -NT$4.42B -NT$411.00M NT$2.66B -NT$105.84M
-Change in Payables and Accrued Expense -NT$2.48B -NT$4.48B -NT$311.00M NT$6.34B NT$3.17B
-Change in Other Current Assets NT$1.41B -NT$807.04M -NT$1.70B NT$647.99M -NT$1.75B
-Change in Other Current Liabilities NT$222.32M -NT$10.80M -NT$96.00M -NT$2.14M NT$12.33M
-Change In Other Working Capital NT$392.35M NT$1.15B NT$2.64B NT$2.16B NT$1.63B
Net cash flow from investing -NT$10.83B -NT$14.53B -NT$28.29B -NT$17.64B NT$17.43B
Net Cash Flow from Continuing Investing Activities -NT$10.83B -NT$14.53B -NT$28.29B -NT$17.64B NT$17.43B
Net PPE Purchase and Sale -NT$5.41B -NT$4.78B -NT$27.68B -NT$8.91B -NT$6.10B
Net Intangibles Purchase and Sale -NT$15.05M -NT$79.36M -NT$144.00M -NT$53.37M -NT$36.51M
Net Business Purchase and Sale NT$9.14M -NT$240.00M NT$857.00M NT$875.04M NT$5.03M
Net Investment Purchase and Sale -NT$5.61B -NT$9.95B -NT$736.00M -NT$7.51B NT$22.75B
Net Other Investing Changes -NT$20.24M NT$346.62M -NT$2.34B -NT$2.56B NT$92.36M
Financing Cash Flow -NT$2.81B NT$1.67B -NT$48.46B -NT$983.41M -NT$45.15B
Net Cash Flow from Continuing Financing Activities -NT$2.81B NT$1.67B -NT$48.46B -NT$983.41M -NT$45.15B
Net Issuance Payments Of Debt -NT$2.56B NT$1.61B -NT$9.28B -NT$1.39B -NT$6.10B
Net Other Financing Charges -NT$251.04M NT$69.58M -NT$390.00M NT$409.36M -NT$257.57M
Ending Cash Balance NT$42.22B NT$35.23B NT$36.94B NT$36.94B NT$23.53B
Net Change in Cash NT$7.00B -NT$1.75B NT$704.00M NT$13.37B -NT$11.55B
Beginning Cash Balance NT$35.23B NT$36.94B NT$36.26B NT$23.53B NT$35.03B
Effect of Exchange Rate Changes -NT$5.19M NT$38.15M -NT$20.00M NT$50.46M NT$39.63M
Free Cash Flow NT$15.21B NT$6.24B NT$49.60B NT$23.02B NT$10.03B
Cash Dividends Paid – – -NT$38.79B NT$232,000.00 –

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