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Financial Instruments (Tables)
12 Months Ended
Dec. 31, 2024
Financial Instruments  
Schedule of financial assets

(i)

Financial assets

    

December 31, 

    

December 31, 

2023

2024

(in thousands)

Financial assets measured at fair value through profit or loss (including current and noncurrent)

$

23,767

 

25,694

Financial assets measured at fair value through other comprehensive income

1,635

28,226

Measured at amortized cost:

 

 

  

Cash and cash equivalents

 

191,749

 

218,148

Financial assets at amortized cost

 

12,511

 

4,286

Accounts receivable and other receivables (including related parties)

 

241,390

 

242,491

Restricted deposit (including current and noncurrent)

 

453,032

 

503,731

Refundable deposits (including current and noncurrent)

 

265,991

 

232,349

Subtotal

 

1,164,673

 

1,201,005

Total

$

1,190,075

 

1,254,925

Schedule of financial liabilities

(ii)

Financial liabilities

    

December 31, 

    

December 31, 

2023

2024

(in thousands)

Measured at amortized cost:

 

  

 

  

Short-term secured borrowings

$

453,000

 

503,700

Accounts payables and other payables (including related parties)

 

174,769

 

160,940

Long-term unsecured borrowings (including current portion)

40,500

34,500

Lease liabilities (including current and noncurrent)

11,380

7,160

Guarantee deposits

 

56,749

 

1,006

Total

$

736,398

 

707,306

Schedule of contractual maturities of financial liabilities, including estimated interest payments of short-term borrowings.

The following, except for payables (including related parties) that are repayable within a year, are the contractual maturities of financial liabilities, including estimated interest payments of unsecured borrowings, secured borrowings and lease liabilities.

    

Contractual

    

Within 6

    

612

    

    

    

Over 5

(in thousands)

cash flows

months

months

12 years

25 years

years

December 31, 2023

 

  

 

  

 

  

 

  

 

  

 

  

Non-derivative financial liabilities

 

  

 

  

 

  

 

  

 

  

 

  

Short-term secured borrowings

$

453,324

453,324

Long-term unsecured borrowings (including current portion)

49,476

 

4,282

 

4,133

 

7,966

 

22,025

 

11,070

Lease liabilities

 

11,697

 

3,089

 

1,700

 

4,142

 

2,766

 

Guarantee deposits

 

56,749

 

35,922

 

20,265

 

562

 

 

$

571,246

 

496,617

 

26,098

 

12,670

 

24,791

 

11,070

December 31, 2024

 

  

 

  

 

  

 

  

 

  

 

  

Non-derivative financial liabilities

 

  

 

  

 

  

 

  

 

  

 

  

Short-term secured borrowings

$

504,061

504,061

Long-term unsecured borrowings (including current portion)

40,745

 

4,079

 

3,944

 

7,591

 

20,527

 

4,604

Lease liabilities

 

7,449

 

2,788

 

1,062

 

1,621

 

1,978

 

Guarantee deposits

 

1,006

 

1,006

 

 

-

 

 

$

553,261

 

511,934

 

5,006

 

9,212

 

22,505

 

4,604

Schedule of company's significant exposure to foreign currency risk

The Company’s significant exposure to foreign currency risk was as follows:

(in thousands)

December 31, 2023

December 31, 2024

    

Foreign

    

Exchange

    

Functional

    

Foreign

    

Exchange

    

Functional

currency

rate

currency

currency

rate

currency

Financial assets

  

 

  

 

  

 

  

 

  

 

  

Monetary items

  

 

  

 

  

 

  

 

  

 

  

NTD

281,550

 

30.705

 

9,170

 

235,638

 

32.785

 

7,187

CNY

38,528

 

7.0972

 

5,429

 

38,575

 

7.1884

 

5,366

JPY

993,351

141.3674

7,027

352,275

156.1934

2,255

Financial liabilities

 

 

 

 

 

Monetary items

 

 

 

 

 

NTD

1,422,137

30.705

46,315

1,246,126

32.785

38,010

JPY

824,224

 

141.3674

 

5,830

 

375,040

 

156.1934

 

2,401

Schedule of fair value hierarchy

December 31, 2023

Carrying

Fair Value

(in thousands)

    

Amount

    

Level 1

    

Level 2

    

Level 3

    

Total

Financial assets measured at fair value through profit or loss

 

  

 

  

 

  

 

  

 

  

Money market fund

$

2,117

2,117

2,117

Equity securities-unlisted company

21,650

 

 

 

21,650

 

21,650

Subtotal

 

23,767

 

2,117

 

 

21,650

 

23,767

Financial assets measured at fair value through other comprehensive income

 

 

 

  

 

 

Equity securities-listed company

1,128

1,128

1,128

Equity securities-unlisted company

 

507

 

 

 

507

 

507

Total

$

25,402

 

3,245

 

 

22,157

 

25,402

 December 31, 2024

Carrying

Fair Value

(in thousands)

     

Amount

     

Level 1

     

Level 2

     

Level 3

     

Total

Financial assets measured at fair value through profit or loss

  

  

 

Money market fund

$

2,140

2,140

2,140

Equity securities-unlisted company

23,554

23,554

23,554

Subtotal

25,694

2,140

23,554

25,694

Financial assets measured at fair value through other comprehensive income

Equity securities-listed company

27,932

3,774

24,158

27,932

Equity securities-unlisted company

294

294

294

Total

$

53,920

5,914

24,158

23,848

53,920

Schedule of movement in financial assets included in Level 3 of fair value hierarchy

Financial assets

Financial assets

at fair value

at fair value

through other

through profit or

comprehensive

(in thousands)

     

loss

     

income

     

Total

January 1, 2023

$

15,350

279

15,629

Addition

5,102

562

5,664

Disposal

(99)

(99)

Capital reduction of investment

(360)

(360)

Recognized in other comprehensive income

(235)

(235)

Recognized in profit or loss

1,558

1,558

December 31, 2023

$

21,650

507

22,157

Financial assets

Financial assets

at fair value

at fair value

through other

    

through profit or

    

comprehensive

    

(in thousands)

loss

income

Total

January 1, 2024

$

21,650

 

507

 

22,157

Addition

 

5,628

 

 

5,628

Disposal

 

(4,630)

 

 

(4,630)

Capital reduction of investment

(338)

(338)

Recognized in other comprehensive income

(213)

(213)

Recognized in profit or loss

 

1,244

 

 

1,244

December 31, 2024

$

23,554

 

294

 

23,848