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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 ($)
Unappropriated retained earnings [member]
TWD ($)
Financial statements translation differences of foreign operations [member]
TWD ($)
Unrealized gain (loss) on valuation of financial assets at fair value through other comprehensive income [member]
TWD ($)
Equity directly related to non-current assets held for sale [member]
TWD ($)
Beginning 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         3,439,697      
Other comprehensive income (loss) 184,329         177,886 68,656 (62,213)  
Total comprehensive income (loss) for the year 3,624,026         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   7,272,401 6,055,773 2,575,987 8,506,816 (17,369) 245,652  
Profit for the year 1,967,565         1,967,565      
Other comprehensive income (loss) (170,976)         8,947 16,713 (153,542) $ (43,094)
Total comprehensive income (loss) for the year 1,796,589         1,976,512 16,713 (153,542) (43,094)
Appropriation of prior year's earnings:                  
Legal reserve         354,986 (354,986)      
Cash dividends (1,672,652)         (1,672,652)      
Ending Balance at Dec. 31, 2023 24,763,197   7,272,401 6,055,773 2,930,973 8,455,690 (656) 92,110 (43,094)
Profit for the year 1,439,536 $ 43,902       1,439,536      
Other comprehensive income (loss) 109,617 3,343       45,264 18,347 2,912 43,094
Total comprehensive income (loss) for the year 1,549,153 47,245       1,484,800 18,347 2,912 $ 43,094
Appropriation of prior year's earnings:                  
Legal reserve         190,237 (190,237)      
Cash dividends (1,309,032)         (1,309,032)      
Disposal of investments in equity instruments at fair value through other comprehensive income           2,861   (2,861)  
Ending Balance at Dec. 31, 2024 $ 25,003,318 $ 762,529 $ 7,272,401 $ 6,055,773 $ 3,121,210 $ 8,444,082 $ 17,691 $ 92,161