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09-15-2000, 02:43 AM
<TABLE BORDER="0" WIDTH="100%">
<TR ALIGN="middle" CLASS="bdh">
<TD rowSpan="2">Type of Investment</TD>
<TD>1998</TD>
<TD>Jan~Jul</TD>
<TD>1999</TD>
<TD>Jan~Jul</TD>
<TD>2000</TD>
<TD>Jan~Jul</TD>
<TD></TD>
</TR>
<TR ALIGN="middle" CLASS="bdh">
<TD></TD>
<TD>Ratio</TD>
<TD></TD>
<TD>Ratio</TD>
<TD></TD>
<TD>Raio</TD>
<TD>Increase Rate</TD>
</TR>
<TR ALIGN="middle" CLASS="bdb">
<TD ALIGN="left" CLASS="bdh">Acquisition of Newly IssuedStocks</TD>
<TD>2,564</TD>
<TD>69.4</TD>
<TD>5,023</TD>
<TD>76.8</TD>
<TD>7,379</TD>
<TD>93.9</TD>
<TD>46.9</TD>
</TR>
<TR ALIGN="middle" CLASS="bdb">
<TD ALIGN="left" CLASS="bdh">Acquisition of Outstanding Stocks</TD>
<TD>862</TD>
<TD>23.3</TD>
<TD>1,101</TD>
<TD>16.8</TD>
<TD>367</TD>
<TD>4.7</TD>
<TD>กโ66.7</TD>
</TR>
<TR ALIGN="middle" CLASS="bdb">
<TD ALIGN="left" CLASS="bdh">Long-term Loans</TD>
<TD>269</TD>
<TD>7.3</TD>
<TD>419</TD>
<TD>6.4</TD>
<TD>108</TD>
<TD>1.4</TD>
<TD>กโ74.2</TD>
</TR>
</TABLE>
<TR ALIGN="middle" CLASS="bdh">
<TD rowSpan="2">Type of Investment</TD>
<TD>1998</TD>
<TD>Jan~Jul</TD>
<TD>1999</TD>
<TD>Jan~Jul</TD>
<TD>2000</TD>
<TD>Jan~Jul</TD>
<TD></TD>
</TR>
<TR ALIGN="middle" CLASS="bdh">
<TD></TD>
<TD>Ratio</TD>
<TD></TD>
<TD>Ratio</TD>
<TD></TD>
<TD>Raio</TD>
<TD>Increase Rate</TD>
</TR>
<TR ALIGN="middle" CLASS="bdb">
<TD ALIGN="left" CLASS="bdh">Acquisition of Newly IssuedStocks</TD>
<TD>2,564</TD>
<TD>69.4</TD>
<TD>5,023</TD>
<TD>76.8</TD>
<TD>7,379</TD>
<TD>93.9</TD>
<TD>46.9</TD>
</TR>
<TR ALIGN="middle" CLASS="bdb">
<TD ALIGN="left" CLASS="bdh">Acquisition of Outstanding Stocks</TD>
<TD>862</TD>
<TD>23.3</TD>
<TD>1,101</TD>
<TD>16.8</TD>
<TD>367</TD>
<TD>4.7</TD>
<TD>กโ66.7</TD>
</TR>
<TR ALIGN="middle" CLASS="bdb">
<TD ALIGN="left" CLASS="bdh">Long-term Loans</TD>
<TD>269</TD>
<TD>7.3</TD>
<TD>419</TD>
<TD>6.4</TD>
<TD>108</TD>
<TD>1.4</TD>
<TD>กโ74.2</TD>
</TR>
</TABLE>