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Himax Technologies, Inc. (the Parent Company only) - Condensed Statements of Cash Flows (Details) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from operating activities:      
Profit for the year $ 235,467 $ 433,935 $ 45,160
Adjustments for:      
Changes in fair value of financial assets at fair value through profit or loss (1,246) 284 (472)
Interest income (4,813) (876) (967)
Unrealized foreign currency exchange gains (2,883) (953) (239)
Changes in:      
Cash generated from operating activities 152,665 408,144 106,056
Interest received 4,525 852 1,066
Interest paid (2,783) (1,074) (1,811)
Net cash used in operating activities 82,908 388,276 102,610
Cash flows from investing activities:      
Acquisitions of financial asset at amortized cost (8,763) (25,362) (3,829)
Acquisitions of equity method investment (3,264) (598) (792)
Proceeds from capital reduction of investment 0 151 32
Net cash provided by (used in) investing activities 14,998 (232,680) (22,365)
Cash flows from financing activities:      
Payments of cash dividends (217,873) (47,424) (4)
Proceeds from exercise of employee stock options 0 1,182 3,707
Net cash provided by (used in) financing activities (211,068) (4,487) 3,261
Net increase (decrease) in cash (114,443) 151,086 83,883
Cash and cash equivalents at beginning of year 336,024 184,938 101,055
Cash and cash equivalents at end of year 221,581 336,024 184,938
Equity attributable to owners of parent      
Cash flows from operating activities:      
Profit for the year 236,982 436,896 47,134
Adjustments for:      
Changes in fair value of financial assets at fair value through profit or loss (1,021) 143 (427)
Interest income (166) (148) (126)
Finance costs 4,944 1,320 3,629
Share of losses (profits) of subsidiaries and affiliates (241,712) (439,133) (50,558)
Unrealized foreign currency exchange gains 493 (115) (356)
Adjustments to reconcile profit (loss) (480) (1,037) (704)
Changes in:      
Other current assets (19) (72) (267)
Other current liabilities (689) 750 (71)
Cash generated from operating activities (1,188) (359) (1,042)
Interest received 172 139 130
Interest paid (2,561) (858) (730)
Net cash used in operating activities (3,577) (1,078) (1,642)
Cash flows from investing activities:      
Acquisitions of financial asset at amortized cost (163) (139) (129)
Acquisitions of equity method investment 0 0 (758)
Net cash provided by (used in) investing activities (163) (139) (887)
Cash flows from financing activities:      
Payments of cash dividends (217,873) (47,404) 0
Proceeds from long-term unsecured borrowings 0 0 60,000
Repayments of long-term unsecured borrowings (6,000) (6,000) (1,500)
Proceeds from short-term secured borrowings 1,212,700 611,600 278,000
Repayments of short-term secured borrowings (994,800) (564,200) (338,000)
Proceeds from issue of RSUs from a subsidiary 1,187 31 0
Proceeds from exercise of employee stock options 0 1,182 3,707
Proceeds from debt from a subsidiary 197,955 159,205 151,730
Repayment of debt from a subsidiary (187,455) (154,205) (150,430)
Net cash provided by (used in) financing activities 5,714 209 3,507
Net increase (decrease) in cash 1,974 (1,008) 978
Cash and cash equivalents at beginning of year 972 1,980 1,002
Cash and cash equivalents at end of year $ 2,946 $ 972 $ 1,980