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Consolidated Statements of Profit or Loss and Other Comprehensive Income
$ in Millions, $ in Millions
12 Months Ended
Dec. 31, 2022
TWD ($)
$ / shares
Dec. 31, 2022
USD ($)
$ / shares
Dec. 31, 2021
TWD ($)
$ / shares
Dec. 31, 2020
TWD ($)
$ / shares
Statement [LineItems]        
NET REVENUE $ 2,263,891.3 $ 73,670.4 $ 1,587,415.0 $ 1,339,254.8
COST OF REVENUE 915,536.5 29,792.9 767,877.7 628,124.7
GROSS PROFIT 1,348,354.8 43,877.5 819,537.3 711,130.1
OPERATING EXPENSES        
Research and development 163,262.2 5,312.9 124,734.8 109,486.0
General and administrative 53,524.8 1,741.8 36,929.6 28,457.6
Marketing 9,920.5 322.7 7,558.6 7,112.8
Total operating expenses 226,707.5 7,377.4 169,223.0 145,056.4
OTHER OPERATING INCOME AND EXPENSES, NET (368.4) (12.0) (333.4) 710.0
INCOME FROM OPERATIONS 1,121,278.9 36,488.1 649,980.9 566,783.7
NON-OPERATING INCOME AND EXPENSES        
Share of profits of associates 7,679.8 249.9 5,512.7 3,562.0
Interest Income 22,422.2 729.7 5,708.8 9,018.4
Other income 947.7 30.8 973.1 660.6
Foreign exchange gain (loss), net 4,505.8 146.6 13,662.7 (3,303.3)
Finance costs (11,750.0) (382.4) (5,414.2) (2,081.5)
Other gains and losses, net (1,012.2) (32.9) (7,388.0) 10,106.4
Total non-operating income and expenses 22,793.3 741.7 13,055.1 17,962.6
INCOME BEFORE INCOME TAX 1,144,072.2 37,229.8 663,036.0 584,746.3
INCOME TAX EXPENSE 150,777.5 4,906.5 70,155.4 73,738.3
NET INCOME 993,294.7 32,323.3 592,880.6 511,008.0
OTHER COMPREHENSIVE INCOME (LOSS) - Items that will not be reclassified subsequently to profit or loss:        
Remeasurement of defined benefit obligation (823.1) (26.8) 242.1 (3,516.8)
Unrealized gain/(loss) on investments in equity instruments at fair value through other comprehensive income (263.7) (8.6) 1,900.8 423.7
Gain (loss) on hedging instruments 0.0 0.0 (41.4) 24.1
Share of other comprehensive income (loss) of associates 154.5 5.0 (30.2) (11.6)
Income tax benefit (expense) related to items that will not be reclassified subsequently 734.0 23.9 (85.3) 422.7
Total items that will not be reclassified subsequently to profit or loss (198.3) (6.5) 1,986.0 (2,657.9)
OTHER COMPREHENSIVE INCOME (LOSS) - Items that may be reclassified subsequently to profit or loss:        
Exchange differences arising on translation of foreign operations 50,845.6 1,654.6 (6,181.8) (29,847.2)
Unrealized gain/(loss) on investments in debt instruments at fair value through other comprehensive income (10,102.7) (328.8) (3,431.8) 2,466.7
Gain on hedging instruments 1,329.2 43.3 131.6 0.0
Share of other comprehensive income (loss) of associates 550.3 17.9 (120.0) (283.4)
Income tax benefit (expense) related to items that may be reclassified subsequently 6.0 0.2 (3.4) 0.0
Total items that may be reclassified subsequently to profit or loss 42,628.4 1,387.2 (9,605.4) (27,663.9)
Other comprehensive income (loss), net of income tax 42,430.1 1,380.7 (7,619.4) (30,321.8)
Total comprehensive income (loss) 1,035,724.8 33,704.0 585,261.2 480,686.2
NET INCOME ATTRIBUTABLE TO:        
Shareholders of the parent 992,923.4 32,311.2 592,359.2 510,744.0
Non-controlling interests 371.3 12.1 521.4 264.0
NET INCOME 993,294.7 32,323.3 592,880.6 511,008.0
TOTAL COMPREHENSIVE INCOME ATTRIBUTABLE TO:        
Shareholders of the parent 1,035,518.1 33,697.3 584,737.3 480,422.1
Non-controlling interests 206.7 6.7 523.9 264.1
Total comprehensive income (loss) $ 1,035,724.8 $ 33,704.0 $ 585,261.2 $ 480,686.2
EARNINGS PER SHARE        
Basic earnings per share | (per share) $ 38.29 $ 1.25 $ 22.84 $ 19.7
Diluted earnings per share | (per share) 38.29 1.25 22.84 19.7
American Depositary Shares (one represents five common shares) [member]        
EARNINGS PER SHARE        
Basic earnings per share | (per share) 191.46 6.23 114.22 98.48
Diluted earnings per share | (per share) $ 191.46 $ 6.23 $ 114.22 $ 98.48