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Himax Technologies, Inc. (the Parent Company only) - Condensed Statements of Financial Position (Details) - USD ($)
$ in Thousands
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Statement [line items]        
Cash $ 191,749 $ 221,581 $ 336,024 $ 184,938
Time deposit with original maturities more than three months 12,511 8,314    
Other receivable from related party 69 1,224    
Other current assets 86,548 104,277    
Financial assets at fair value through profit or loss. 23,767 15,350    
Total assets 1,643,404 1,701,758    
Current liabilities 708,803 693,995    
Short-term secured borrowings 453,000 369,300    
Total equity 863,702 893,821 871,982 485,199
Total liabilities and equity 1,643,404 1,701,758    
Equity attributable to owners of parent        
Statement [line items]        
Cash 3,639 2,946 972 1,980
Time deposit with original maturities more than three months 5,419 5,330    
Other current assets 581 529    
Financial assets at fair value through profit or loss. 19,095 13,290    
Investments in subsidiaries and affiliates 1,530,298 1,473,234    
Total assets 1,559,032 1,495,329    
Current liabilities 524 132    
Current portion of long-term unsecured borrowings 6,000 6,000    
Short-term secured borrowings 453,000 369,300    
Debt borrowing from a subsidiary 208,240 186,825    
Long-term unsecured borrowings 34,500 40,500    
Total equity 856,768 892,572 $ 869,724 $ 480,176
Total liabilities and equity $ 1,559,032 $ 1,495,329