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Consolidated Statements of Changes in Equity - USD ($)
$ in Thousands
Ordinary shares [Member]
Additional paid-in capital [Member]
Treasury shares
Accumulated other comprehensive income
Retained earnings [Member]
Total
Noncontrolling interests
Total
Balance at Dec. 31, 2019 $ 107,010 $ 105,150 $ (8,764) $ (952) $ 230,543 $ 432,987 $ (1,743) $ 431,244
Balance (in shares) at Dec. 31, 2019 356,700,000   (12,332,000)          
Statement [line items]                
Profit (loss) for the year         47,134 47,134 (1,974) 45,160
Other comprehensive income       404   404 41 445
Total comprehensive income for the year       404 47,134 47,538 (1,933) 45,605
Contributions by and distributions to owners                
Share-based compensation expenses   755       755 8 763
Restricted stock vested   (11) $ 11          
Restricted stock vested (in shares)     16,000          
Employee stock options exercised   1,408 $ 2,237     3,645   3,645
Employee stock options exercised (in shares)     3,150,000          
Aggregate of contribution by and distribution to owners   2,152 $ 2,248     4,400 8 4,408
Aggregate of contribution by and distribution to owners (in shares)     3,166,000          
Changes in ownership interests                
New shares issued by subsidiary   (34)     (4,740) (4,774) 8,695 3,921
Dilution gain of equity method investment   25       25   25
Declaration of cash dividends by subsidiary             (4) (4)
Aggregate of changes in ownership interests   (9)     (4,740) (4,749) 8,691 3,942
Balance at Dec. 31, 2020 $ 107,010 107,293 $ (6,516) (548) 272,937 480,176 5,023 485,199
Balance (in shares) at Dec. 31, 2020 356,700,000   (9,166,000)          
Statement [line items]                
Profit (loss) for the year         436,896 436,896 (2,961) 433,935
Other comprehensive income       (118)   (118) 3 (115)
Total comprehensive income for the year       (118) 436,896 436,778 (2,958) 433,820
Contributions by and distributions to owners                
Declaration of cash dividends         (47,404) (47,404)   (47,404)
Share-based compensation expenses   662       662 38 700
Restricted stock vested   (10) $ 10          
Restricted stock vested (in shares)     15,000          
Employee stock options exercised   499 $ 745     1,244   1,244
Employee stock options exercised (in shares)     1,049,000          
Aggregate of contribution by and distribution to owners   1,151 $ 755   (47,404) (45,498) 38 (45,460)
Aggregate of contribution by and distribution to owners (in shares)     1,064,000          
Changes in ownership interests                
Purchase of subsidiaries shares from noncontrolling interest         (1,789) (1,789) 175 (1,614)
Dilution gain of equity method investment   397     (340) 57   57
Declaration of cash dividends by subsidiary             (20) (20)
Aggregate of changes in ownership interests   397     (2,129) (1,732) 155 (1,577)
Balance at Dec. 31, 2021 $ 107,010 108,841 $ (5,761) (666) 660,300 869,724 2,258 871,982
Balance (in shares) at Dec. 31, 2021 356,700,000   (8,102,342)          
Statement [line items]                
Profit (loss) for the year         236,982 236,982 (1,515) 235,467
Other comprehensive income       448   448 124 572
Total comprehensive income for the year       448 236,982 237,430 (1,391) 236,039
Contributions by and distributions to owners                
Declaration of cash dividends         (217,873) (217,873)   (217,873)
Share-based compensation expenses   2,664       2,664 140 2,804
Restricted stock vested   (167) $ 167          
Restricted stock vested (in shares)     236,000          
Aggregate of contribution by and distribution to owners   2,497 $ 167   (217,873) (215,209) 140 (215,069)
Aggregate of contribution by and distribution to owners (in shares)     236,000          
Changes in ownership interests                
New shares issued by subsidiary   115       115 445 560
Dilution gain of equity method investment   796       796   796
Effect of Himax Media Solutions, Inc. merged into Himax Taiwan         (104) (104) (197) (301)
Disposal of financial assets at fair value through other comprehensive income         (180) (180) (6) (186)
Aggregate of changes in ownership interests   911     (284) 627 242 869
Balance at Dec. 31, 2022 $ 107,010 $ 112,249 $ (5,594) $ (218) $ 679,125 $ 892,572 $ 1,249 $ 893,821
Balance (in shares) at Dec. 31, 2022 356,700,000   (7,866,432)