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Changes in liabilities from financing activities (Tables)
12 Months Ended
Dec. 31, 2023
Disclosure of reconciliation of liabilities arising from financing activities [abstract]  
Reconciliation of Liabilities Arising from Financing Activities

 

2021

 

Short-term
bank loans

 

Long-term bank
loans (including
current portion)

 

Guarantee
deposits

 

Lease
liabilities

 

Total liabilities
from financing
activities

 

NT$000

 

NT$000

 

NT$000

 

NT$000

 

NT$000

January 1

 

 

7,733,565

 

21,670

 

870,495

 

8,625,730

Changes in cash flow from financing
   activities

 

731,751

 

1,652,332

 

(45)

 

(289,668)

 

2,094,370

Adjustment of right-of-use assets

 

 

 

 

255,179

 

255,179

Amortization of loan fees

 

 

7,646

 

 

 

7,646

Amortization of interest expense

 

 

19,822

 

 

15,245

 

35,067

December 31

 

731,751

 

9,413,365

 

21,625

 

851,251

 

11,017,992

 

 

2022

 

Short-term
bank loans

 

Long-term bank
loans (including
current portion)

 

Guarantee
deposits

 

Lease
liabilities

 

Total liabilities
from financing
activities

 

NT$000

 

NT$000

 

NT$000

 

NT$000

 

NT$000

January 1

 

731,751

 

9,413,365

 

21,625

 

851,251

 

11,017,992

Changes in cash flow from financing
   activities

 

(731,751)

 

4,513,672

 

(25)

 

(237,869)

 

3,544,027

Adjustment of right-of-use assets

 

 

 

 

292,464

 

292,464

Amortization of loan fees

 

 

10,026

 

 

 

10,026

Amortization of interest expense

 

 

30,738

 

 

14,556

 

45,294

December 31

 

 

13,967,801

 

21,600

 

920,402

 

14,909,803

 

 

2023

 

Long-term bank
loans (including
current portion)

 

Guarantee
deposits

 

Lease
liabilities

 

Total liabilities
from financing
activities

 

NT$000

 

NT$000

 

NT$000

 

NT$000

January 1

 

13,967,801

 

21,600

 

920,402

 

14,909,803

Changes in cash flow from financing
   activities

 

907,306

 

(365)

 

(293,383)

 

613,558

Adjustment of right-of-use assets

 

 

 

419,625

 

419,625

Amortization of interest expense

 

36,612

 

 

18,757

 

55,369

December 31

 

14,911,719

 

21,235

 

1,065,401

 

15,998,355