Page 321 - TSMC 2020 Annual Report
P. 321

The Company’s profit sharing bonus to employees and compensation to directors for 2020, 2019 and 2018 had been approved by the Board of Directors of the Company, as illustrated below:
Years Ended December 31
  Resolution Date of the Company’s Board of Directors in its meeting
Profit sharing bonus to employees Compensation to directors
2020 2019 February 9, February 11, 2021 2020
$ 34,753,184 $ 23,165,745 $ 509,753 $ 360,404
2018 February 19, 2019
$ 23,570,040 $ 349,272
               There is no significant difference between the aforementioned approved amounts and the amounts charged against earnings of 2020, 2019 and 2018, respectively.
The information about the appropriations of the Company’s profit sharing bonus to employees and compensation to directors is available at the Market Observation Post System website.
27. CASH FLOW INFORMATION
a. Non-cash transactions
Years Ended December 31
2020
2019
$ 555,377,864 (3,287,138) (101,720,581) (82,276)
$ 450,287,869
$ 1,286,373 (175,900)
7,865 $ 1,118,338
$ 9,182,777 69,935 -
$ 9,252,712
Balance as of December 31, 2020
  Additions of property, plant and equipment $ 512,900,891 Exchange of assets (1,148) Changes in payables to contractors and equipment suppliers (18,609,540) Transferred to initial carrying amount of hedged items 20,265
Payments for acquisition of property, plant and equipment $ 494,310,468
Disposal of property, plant and equipment $ 1,112,923 Changes in other receivables from related parties (55,271) Changes in other financial assets 13,203
Proceeds from disposal of property, plant and equipment $ 1,070,855
Additions of intangible assets $ 12,510,446 Changes in accounts payable 191,429 Changes in accrued expenses and other current liabilities (3,218,966)
Payments for acquisition of intangible assets $ 9,482,909 b. Reconciliation of liabilities arising from financing activities
Non-cash changes
Foreign
Exchange Leases
Movement Modifications
(4,794,897 ) $ - (986,845 ) - 17,489 6,853,545 2,059 -
(5,762,194 ) $ 6,853,545
                   Short-term loans Bonds payable Lease liabilities Guarantee deposits
Total
$
148,510,290 56,900,000 15,143,819
$
31,944,333 117,129,182
(2,324,499 ) 130,669
$
$
$
$
- 8,408 168,854
(1,511,250 ) (1,333,988 )
$
$
175,659,726 173,050,745 19,859,208 312,230
368,881,909
Balance as of January 1, 2020
Financing Cash Flow
Other Changes (Note)
1,690,752 $ 222,244,861
$ 146,879,685
                   - 162 -
- 162 -









































   319   320   321   322   323