Page 140 - TSMC 2019 Annual Report
P. 140

TSMC Partners Ltd TSMC Design Technology Canada Inc TSMC Global Ltd VentureTech Alliance Fund II L P VentureTech Alliance Fund III L P Growth Fund Limited
VisEra Technologies Company Ltd Director Director President
Director Director Director President
Director Director None None None Wendell Huang Sylvia Fang Wendell Huang Wendell Huang Sylvia Fang None None None - - - - - - - - - - TSMC holds 988 268 244 shares 100%
- - - - 100%
- - - - - - - - TSMC holds 11 284 shares 100%
Company (Note 1)
Title
Name
Shareholding
Shares (Investment Amount)
%
%
(Investment Holding %)
Cliff Hou
Cormac Michael O’Connell Sylvia Fang Cliff Hou
- - - - TSMC Partners Ltd holds 2
300 000 shares (TSMC’s investment US$3 189 066)
(TSMC’s investment US$94 589 012)
(98 00%)
(98 00%)
(VentureTech Alliance Fund III L P ’s investment US$2 503 768) (100%)
Robert Kuan C S Yoo George Liu Wendell Huang S C Hsin
54 600 shares - - - - TSMC holds 253 120 000 shares Chairman 0 0 0 0 02% Director - - Director - - Supervisor - - President
- - 86 94%
Note 1: On January 10 10 2020 TSMC TSMC TSMC Design Design Technology Technology Japan Inc a a a a a a a a a a a 100%
owned subsidiary of of TSMC TSMC TSMC was established Dr Cliff Hou
and Mr Wendell Huang are the directors of of TSMC TSMC TSMC Design Design Technology Technology Japan Inc Note 2: InveStar InveStar Semiconductor Semiconductor Development Development Fund Fund Inc Inc and InveStar InveStar Semiconductor Semiconductor Development Development Fund Fund Inc Inc (II) LDC are under liquidation procedures 8 1 6 Operational Highlights of TSMC Subsidiaries Unit: NT$ NT$ thousands except EPS (NT$)
TSMC North America TSMC Europe B V TSMC Japan Limited
TSMC Korea Limited
TSMC Development Inc TSMC Partners Ltd TSMC Global Ltd WaferTech LLC
TSMC China Company Limited
TSMC Nanjing Company Limited
VisEra Technologies Company Ltd TSMC Technology Inc TSMC Design Technology Canada Inc InveStar Semiconductor Development Fund Inc InveStar Semiconductor Development Fund Inc (II) LDC VentureTech Alliance Fund II L P VentureTech Alliance Fund III L P Growth Fund Limited
329 868 3 3 365 82 530 10 400 0 0 03 29 636 188 338 384 592 0 19 380 554 28 627 434 2
911 531 0 0 03 55 979
14 663
0 104 577 2
2
894 424 75 083
93 975 628 761 257 211 952 45 163 29 567 197 53 455 518 404 432 559 5 332 211 60 103 992 49 441 326 6 322 477 1 1 1 316 214 276 637
0 0 70 253 212 437 124 648
89 405 802 298 777 69 332 4
4
435 0 0 6 6 695 289 618 940 2
2
745 525 28 032 476 1 1 137 005 645 676 37
495
0 0 0 0 0 4
569 825 462 479 142 620
40 727 29 567 197 53 455 518 397 737 270 4
713 271 57 358 467 21 408 850 5 5 185 472 670 538 239 141
0 0 70 253 212 437 124 648
642 456 504 495
777 231 708 20 050 1 1 470 591 2
2
215 060 12 300 693 6 841 533 16 218 476 18 312 861 3 3 395 724 2
444 373 323 548
0 0 2
2
205 5 5 015 0 267 363 53 410 9 358 1 847 1 470 305 2
2
2
208 823 11 592 365 1 003 240 3 3 255 953 1 340 599 718 693 116 339 29 413
10 0 (2 899) 1 1 1 191 (1 351)
416 366 37
621 3 254 2
196 1 338 673 2
2
2
202 709 11 592 187 843 483 4
037 216 1 289 672 613 841 100 661 30 494
10 0 (3 409) 1 1 1 191 (1 351)
as of 12/31/2019
37
85 188 106 27 542 33 27 45 133 867 259 80 2
2
23 1 1 1 027 311 89 2
87 NA NA 2
11 10 10 066 067 10 10 13 26 0 0 02 0 0 0 00 NA NA NA Company Capital Stock
Assets
Liabilities
Net Worth
Net Revenues
Income (Loss) from Operation Net Income (Loss) Basic Earnings (Loss) Per Share 138














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