TSMC Reports Third Quarter EPS of NT$1.26

(Figures in Million of New Taiwan Dollars (NTD) and U.S. Dollars (USD)) (1)


                                  Nine Months    3Q 2006    2Q 2006    3Q 2005
                                      2006
                                       (Un-        (Un-      (Un-       (Un-
                                     audited)     audited)  audited)  audited)
                                                                        (2)
                                   USD      NTD      NTD      NTD       NTD
    Cash Flows from Operating
     Activities:
        Net Income                $3,057  $99,098  $32,489   $34,002  $24,488
        Net Income Attributable
         to Minority Interest          3       83       30       (11)      36
        Depreciation &
         Amortization              1,667   54,033   18,411    17,888   19,068
        Deferred Income Tax            4      115     (136)      860   (1,220)
        Investment Income From
         Equity Method Investees     (60)  (1,959)    (709)     (650)    (271)
        Changes in Working
         Capital & Others             17      613    2,593    (1,698)  (2,192)
        Net Cash Provided by
         Operating Activities      4,688  151,983   52,678    50,391   39,909

    Cash Flows from Investing
     Activities:
        Acquisitions:
           Marketable Financial
            Instruments           (3,073) (99,635) (27,054)  (39,850) (32,540)
           Financial Assets
            Carried at Cost          (15)    (495)    (205)     (168)     (14)
           Property, Plant and
            Equipment             (1,886) (61,157) (28,256)  (21,391) (10,491)
           Long-Term Investments
            by Equity Method          (6)    (180)    (132)      (48)      --
        Proceeds from Disposal or
         maturity of:
           Marketable Financial
            Instruments            2,174   70,492   18,486    32,075   32,317
           Financial Assets
            Carried at Cost            3      105      105        --       36
           Property, Plant and
            Equipment                 14      464      217      (215)     147
           Long-Term Investments
            by Equity Method          --       --       --        --       --
        Others                       (29)    (942)    (147)     (653)    (243)
        Net Cash Used In
         Investing Activities     (2,818) (91,348) (36,986)  (30,250) (10,788)

    Cash Flows from Financing
     Activities:
        Repurchase of Treasury
         Stock                        --       --       --       --        --
        Cash Dividends            (1,904) (61,743) (61,743)      --   (46,420)
        Bonus Paid to Employees,
         Directors and
         Supervisors                (106)  (3,432)  (3,175)     (257)  (3,086)
        Repayment of Long-Term
         Bonds Payable                --       (4)      (1)       (2)     (52)
        Increase in Guarantee
         Deposits                     24           788            327              139            847
                Proceeds  from  Exercise  of
                  Stock  Options                                13            423              97              209              49
                Others                                              (18)        (580)        (243)            (15)          666
                Net  Cash  (Used  in)
                  Provided  by  Financing
                  Activities                              (1,991)  (64,548)  (64,738)              74    (47,996)

        Net  Increase  (Decrease)  in
          Cash  and  Cash  Equivalents            (121)    (3,913)  (49,046)      20,215    (18,875)

        Effect  of  Exchange  Rate
          Changes  and  Others                              11            332            497              (14)            52

        Cash  and  Cash  Equivalents  at
          Beginning  of  Period                      2,976      96,484    141,452      121,251      88,405

        Cash  and  Cash  Equivalents  at
          End  of  Period                                $2,866    $92,903    $92,903    $141,452    $69,582


      Note:  (1)  Amounts  in  NTD  have  been  translated  into  USD  at  the  rate  of
                          NTD32.421,  the  weighted  average  rate  for  the  nine  months  ended
                          September  30,  2006.
                  (2)  Certain  prior  period  balances  have  been  reclassified  to  conform
                          to  the  current  period  presentation.




        Safe  Harbor  Notice: 


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