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Cash Flow Information - Change in Liabilities Arising From Financing Activities (Detail)
$ in Thousands, $ in Thousands
12 Months Ended
Dec. 31, 2022
TWD ($)
Dec. 31, 2022
USD ($)
Dec. 31, 2021
TWD ($)
Dec. 31, 2020
TWD ($)
Disclosure of non-cash investing activities [line items]        
Beginning balance $ 227,176,140 $ 7,392,650 $ 209,117,966 $ 223,982,006
Net financing cash flows (32,224,610) (1,048,637) 21,435,763 (9,129,670)
Interest under operating activities 1,394 45 800 111
Rent expense under operating activities (1,904) (62) (184) (7,729)
Equity components of convertible bonds and embedded derivative liability (1,092,004) (35,535) (399,955)  
Non-cash changes        
Additions to lease liabilities 1,379,342 44,886 2,037,665 584,642
Amortization of issuance cost 297,446 9,679 351,262 171,232
Convertible bonds issued by subsidiaries and converted to ordinary shares (171) (6) (102)  
Lease modifications (117,549) (3,825) (58,799) (289,687)
Adjustments for government subsidy (46,672) (1,519)   41,650
Acquisition of subsidiaries (Note 29)     180,745 990,023
Disposal of subsidiaries (Note 30)     (2,475,660) (4,694,352)
Reclassification     380,292  
Effects of foreign currency exchange 6,907,980 224,798 (3,393,653) (2,530,260)
Ending balance 202,279,392 6,582,474 227,176,140 209,117,966
Income tax paid        
Operating activities 14,250,527 463,733 7,423,947 5,536,077
Investing activities 842,440 27,414 570,700  
Total taxes paid 15,092,967 491,147 7,994,647 5,536,077
Short-term borrowings [member]        
Disclosure of non-cash investing activities [line items]        
Beginning balance 41,036,429 1,335,387 34,597,858 40,572,329
Net financing cash flows 1,866,253 60,731 10,043,398 (1,502,323)
Non-cash changes        
Short-term borrowings transferred to long-term borrowings       (3,850,000)
Acquisition of subsidiaries (Note 29)       356,417
Disposal of subsidiaries (Note 30)     (2,443,005)  
Long-term borrowings transferred to short-term borrowings 1,522,294 49,538    
Effects of foreign currency exchange 2,306,154 75,045 (1,161,822) (978,565)
Ending balance 46,731,130 1,520,701 41,036,429 34,597,858
Bonds payable [member]        
Disclosure of non-cash investing activities [line items]        
Beginning balance 52,267,337 1,700,857 56,253,554 36,522,155
Net financing cash flows (3,539,423) (115,178) (3,719,057) 19,717,149
Equity components of convertible bonds and embedded derivative liability (1,092,004) (35,535) (399,955)  
Non-cash changes        
Amortization of issuance cost 182,759 5,947 126,283 14,250
Convertible bonds issued by subsidiaries and converted to ordinary shares (171) (6) (102)  
Effects of foreign currency exchange 31,826 1,036 6,614  
Ending balance 47,850,324 1,557,121 52,267,337 56,253,554
Long-term borrowings [member]        
Disclosure of non-cash investing activities [line items]        
Beginning balance 126,472,490 4,115,603 112,390,724 141,078,598
Net financing cash flows (29,516,421) (960,509) 16,018,825 (26,500,139)
Non-cash changes        
Amortization of issuance cost 114,687 3,732 224,979 156,982
Short-term borrowings transferred to long-term borrowings       3,850,000
Adjustments for government subsidy (46,672) (1,519)   41,650
Disposal of subsidiaries (Note 30)       (4,693,682)
Long-term borrowings transferred to short-term borrowings (1,522,294) (49,538)    
Effects of foreign currency exchange 4,487,661 146,037 (2,162,038) (1,542,685)
Ending balance 99,989,451 3,253,806 126,472,490 112,390,724
Lease liabilities [member]        
Disclosure of non-cash investing activities [line items]        
Beginning balance 7,399,884 240,803 5,875,830 5,808,924
Net financing cash flows (1,035,019) (33,681) (907,403) (844,357)
Interest under operating activities 1,394 45 800 111
Rent expense under operating activities (1,904) (62) (184) (7,729)
Non-cash changes        
Additions to lease liabilities 1,379,342 44,886 2,037,665 584,642
Lease modifications (117,549) (3,825) (58,799) (289,687)
Acquisition of subsidiaries (Note 29)     180,745 633,606
Disposal of subsidiaries (Note 30)     (32,655) (670)
Reclassification     380,292  
Effects of foreign currency exchange 82,339 2,680 (76,407) (9,010)
Ending balance $ 7,708,487 $ 250,846 $ 7,399,884 $ 5,875,830