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Consolidated Statements of Financial Position
$ in Millions, $ in Millions
Dec. 31, 2023
TWD ($)
Dec. 31, 2023
USD ($)
Dec. 31, 2022
TWD ($)
CURRENT ASSETS      
Cash and cash equivalents $ 1,465,427.8 $ 47,858.5 $ 1,342,814.1
Financial assets at fair value through profit or loss 924.6 30.2 1,070.4
Financial assets at fair value through other comprehensive income 154,530.8 5,046.7 122,998.5
Financial assets at amortized cost 66,761.2 2,180.3 94,600.2
Hedging financial assets 0.0   2.3
Notes and accounts receivable, net 201,313.9 6,574.6 229,755.9
Receivables from related parties 624.4 20.4 1,584.0
Other receivables from related parties 71.9 2.3 69.0
Inventories 250,997.1 8,197.2 221,149.1
Other financial assets 27,158.8 887.0 25,964.4
Other current assets 26,222.4 856.4 12,888.8
Total current assets 2,194,032.9 71,653.6 2,052,896.7
NONCURRENT ASSETS      
Financial assets at fair value through profit or loss 13,417.5 438.2 0.0
Financial assets at fair value through other comprehensive income 7,208.7 235.4 6,159.2
Financial assets at amortized cost 79,199.4 2,586.5 35,127.2
Investments accounted for using equity method 29,442.0 961.5 27,321.7
Property, plant and equipment 3,064,475.0 100,080.9 2,693,837.0
Right-of-use assets 40,424.7 1,320.2 41,914.0
Intangible assets 22,766.7 743.5 25,999.2
Deferred income tax assets 64,175.8 2,095.9 69,185.9
Refundable deposits 7,044.5 230.1 4,467.1
Other noncurrent assets 10,009.4 326.9 7,551.1
Total noncurrent assets 3,338,163.7 109,019.1 2,911,562.4
TOTAL 5,532,196.6 180,672.7 4,964,459.1
CURRENT LIABILITIES      
Financial liabilities at fair value through profit or loss 121.4 4.0 116.2
Hedging financial liabilities 27,334.2 892.7 0.8
Accounts payable 55,726.8 1,819.9 54,879.7
Payables to related parties 1,566.3 51.2 1,642.6
Salary and bonus payable 33,200.6 1,084.3 36,435.5
Accrued profit sharing bonus to employees and compensation to directors 50,716.9 1,656.3 61,748.6
Payables to contractors and equipment suppliers 171,484.6 5,600.4 213,499.6
Cash dividends payable 168,558.5 5,504.8 142,617.1
Income tax payable 128,134.6 4,184.7 163,138.6
Long-term liabilities - current portion 9,293.3 303.5 19,313.9
Accrued expenses and other current liabilities 296,667.9 9,688.7 293,171.0
Total current liabilities 942,805.1 30,790.5 986,563.6
NONCURRENT LIABILITIES      
Bonds payable 913,899.8 29,846.4 834,336.4
Long-term bank loans 4,383.0 143.1 4,760.0
Deferred income tax liabilities 53.8 1.9 1,031.4
Lease liabilities 28,681.8 936.7 29,764.1
Net defined benefit liability 9,257.2 302.3 9,321.1
Guarantee deposits 923.2 30.2 892.0
Others 178,326.2 5,823.8 179,958.1
Total noncurrent liabilities 1,135,525.0 37,084.4 1,060,063.1
Total liabilities 2,078,330.1 67,874.9 2,046,626.7
EQUITY ATTRIBUTABLE TO SHAREHOLDERS OF THE PARENT      
Capital stock 259,320.7 8,469.0 259,303.8
Capital surplus 69,876.4 2,282.1 69,330.3
Retained earnings      
Appropriated as legal capital reserve 311,147.0 10,161.5 311,147.0
Appropriated as special capital reserve 0.0 0.0 3,154.3
Unappropriated earnings 2,817,492.6 92,014.8 2,280,589.9
Total retained earnings 3,128,639.6 102,176.3 2,594,891.2
Others (28,314.3) (924.7) (20,505.6)
Equity attributable to shareholders of the parent 3,429,522.4 112,002.7 2,903,019.7
NON - CONTROLLING INTERESTS 24,344.1 795.1 14,812.7
Total equity 3,453,866.5 112,797.8 2,917,832.4
TOTAL $ 5,532,196.6 $ 180,672.7 $ 4,964,459.1