Amkor Reports Fourth Quarter Sales and Record Full Year 2006 Sales and Net Income

                        AMKOR TECHNOLOGY, INC.
                CONSOLIDATED STATEMENTS OF CASH FLOWS
                             (Unaudited)
                                                  For the Year Ended
                                                     December 31,
                                                ----------------------
                                                   2006       2005
                                                ----------- ----------
                                                    (In thousands)

Cash flows from operating activities:
  Net income (loss)                               $170,084  $(137,235)
  Depreciation and amortization                    273,845    248,637
  Other operating activities and non-cash items     56,030     45,369
  Changes in assets and liabilities                 23,671    (59,614)
                                                ----------- ----------
    Net cash provided by operating activities      523,630     97,157
                                                ----------- ----------

Cash flows from investing activities:
  Payments for property, plant and equipment      (315,873)  (295,943)
  Proceeds from the sale of property, plant and
   equipment                                         4,449      1,596
   Other investing activities                       (3,373)   (12,663)
                                                ----------- ----------
    Net cash used in investing activities         (314,797)  (307,010)
                                                ----------- ----------

Cash flows from financing activities:
  Net change in bank overdrafts                          -       (102)
  Borrowings under revolving credit facilities     233,212    120,405
  Payments under revolving credit facilities      (237,933)  (120,727)
  Proceeds from issuance of long-term debt         590,000    216,317
  Payments for debt issuance costs                 (15,099)    (2,187)
  Payments on long-term debt                      (744,392)  (168,872)
  Proceeds from issuance of stock through stock
   compensation plans                                4,981      2,804
                                                ----------- ----------
    Net cash (used in) provided by financing
     activities                                   (169,231)    47,638
                                                ----------- ----------

Effect of exchange rate fluctuations on cash
 and cash equivalents                               (1,483)    (3,494)
                                                ----------- ----------

Net increase (decrease) in cash and cash
 equivalents                                        38,119   (165,709)
Cash and cash equivalents, beginning of period     206,575    372,284
                                                ----------- ----------
Cash and cash equivalents, end of period          $244,694   $206,575
                                                =========== ==========


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