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Consolidated Statements of Changes in Equity
$ in Thousands, $ in Thousands
TWD ($)
USD ($)
Capital stock [member]
TWD ($)
Capital surplus [member]
TWD ($)
Legal reserve [member]
TWD ($)
Special reserve [member]
TWD ($)
Unappropriated retained earnings [member]
TWD ($)
Financial statements translation differences of foreign operations [member]
TWD ($)
unrealized gain (loss) on valuation of financial assets at fair value through other comprehensive income [member]
TWD ($)
Beginning Balance at Dec. 31, 2019 $ 19,530,585   $ 7,272,401 $ 6,050,787 $ 1,579,478   $ 4,651,215 $ (89,682) $ 66,386
Profit for the year 2,378,978           2,378,978    
Other comprehensive income (loss) 115,308           (41,374) 28,352 128,330
Total comprehensive income (loss) for the year 2,494,286           2,337,604 28,352 128,330
Appropriation of prior year's earnings:                  
Legal reserve         258,416   (258,416)    
Special reserve           $ 19,802 (19,802)    
Cash dividends (1,309,032)           (1,309,032)    
Ending Balance at Dec. 31, 2020 20,715,839   7,272,401 6,050,787 1,837,894 19,802 5,401,569 (61,330) 194,716
Profit for the year 4,937,267           4,937,267    
Other comprehensive income (loss) 84,203           (4,251) (24,695) 113,149
Total comprehensive income (loss) for the year 5,021,470           4,933,016 (24,695) 113,149
Appropriation of prior year's earnings:                  
Legal reserve         232,611   (232,611)    
Special reserve           $ (19,802) 19,802    
Cash dividends (1,599,928)           (1,599,928)    
Changes in associates accounted for using equity method 4,834     4,834          
Ending Balance at Dec. 31, 2021 24,142,215   7,272,401 6,055,621 2,070,505   8,521,848 (86,025) 307,865
Profit for the year 3,439,697 $ 111,933         3,439,697    
Other comprehensive income (loss) 184,329 5,998         177,886 68,656 (62,213)
Total comprehensive income (loss) for the year 3,624,026 117,931         3,617,583 68,656 (62,213)
Appropriation of prior year's earnings:                  
Legal reserve         505,482   (505,482)    
Cash dividends (3,127,133)           (3,127,133)    
Changes in associates accounted for using equity method 152     152          
Ending Balance at Dec. 31, 2022 $ 24,639,260 $ 801,798 $ 7,272,401 $ 6,055,773 $ 2,575,987   $ 8,506,816 $ (17,369) $ 245,652