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Supplementary cash flow information
12 Months Ended
Dec. 31, 2021
Text block [abstract]  
Supplementary cash flow information
 
35.
Supplementary cash flow information
Partial cash paid for investing activities
Property, plant and equipment
 
    
Year ended December 31,
 
    
2019
    
2020
    
2021
 
    
NT$000
    
NT$000
    
NT$000
 
Purchase of property, plant and equipment
     4,896,656        4,133,615        6,552,702  
Add: Beginning balance of payable to contractors and equipment suppliers
     1,516,735        972,770        1,145,359  
Less: Ending balance of payable to contractors and equipment suppliers
     (972,770      (1,145,359      (1,816,555
    
 
 
    
 
 
    
 
 
 
Cash paid during the year
  
 
5,440,621
 
  
 
3,961,026
 
  
 
5,881,506