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Supplemental cash flow information
12 Months Ended
Dec. 31, 2023
Statement of cash flows [abstract]  
Supplemental cash flow information
33.
Supplemental cash flow information

Partial cash paid for investing activities

Property, plant and equipment

 

Year ended December 31,

 

2021

 

2022

 

2023

 

NT$000

 

NT$000

 

NT$000

Purchase of property, plant and equipment

 

6,552,702

 

4,918,482

 

3,228,471

Add: Beginning balance of payable to equipment suppliers

 

1,145,359

 

1,816,555

 

1,405,931

Less: Ending balance of payable to equipment suppliers

 

(1,816,555)

 

(1,405,931)

 

(1,196,181)

Less: Ending balance of payable to equipment suppliers
            – related parties

 

 

 

(58,549)

Less: Transfer from other non-current assets

 

 

(629,737)

 

(305,791)

Cash paid during the year

 

5,881,506

 

4,699,369

 

3,073,881