Page 122 - TSMC 2022 Annual Report
P. 122

6 1 Financial Highlights
6 1 1 1 1 Condensed Balance Sheet
Condensed Balance Sheet
from 2018 to 2022 (Consolidated)
Unit: NT$ thousands
Current Assets
Long-term Investments
Property Plant and Equipment
Right-of-use Assets
Intangible Assets
Other Assets
(Note 1)
Total Assets
Current Liabilities
Before Distribution
After Distribution
Noncurrent Liabilities
Total Liabilities
Before Distribution
After Distribution
Equity Attributable to Shareholders of the Parent
Capital Stock
Capital Surplus
Retained Earnings
Before Distribution
After Distribution
Others
Equity Attributable to Shareholders of the Parent
Before Distribution
After Distribution
Noncontrolling Interests
Total Equity Before Distribution
After Distribution
951 679 721
29 304 796
1 072 050 279
0 17 002 137
20 091 105
2 2 090 128 038
340 542 586
547 985 630
72 089 056
412 631 642
620 074 686
259 303 805
56
315 932
1 1 376 647 841
1 1 169 204 797
(15 449 913)
1 1 676 817 665
1 1 469 374 621
678 731
1 677 496 396
1 470 053 352
822 613 914
30 172 039
1 352
377 405
17 232 402
20 653 028
21
756 244
2 2 2 264 805
032
590 735 701
655 561 652
51 973 905
642
709 606
707 535 557
259 303 805
56
339 709 1 333 334 979
1 268 509 028
(27 568 369)
1 1 1 1 621
410 124
1 1 556 584 173
685 302
1 622 095 426
1 557
269 475
1 1 092 185 308
27 728 208
1 1 555 589 120
27 728 382
25 768 179
31 712 208
2 760 711 405
617 151 048
681 976 999
292 938 358
910 089 406
974 915 357
259 303 805
56
347 243
1 1 588 686
081
1 1 523 860 130
(54 679 873)
1 849 657 256
1 1 784 831 305
964 743
1 1 850 621
999
1 785 796
048
1 607 072 907
29 384 701
1 1 1 975 118 704
32
734 537
26 821 697
54 370 909
3 3 725 503 455
739 503 358
810 811 904
815 266 892
1 554 770 250
1 626 078 796
259 303 805
64 761 602
1 1 906 829 661
1 1 1 1 835 521 115
(62 608 515)
2 2 168 286 553
2 096 978 007
2 2 446 652
2 2 170 733 205
2 2 099 424 659
2 2 052 896 744
68 927 920
2 693 836 970
41 914
136
25 999
155
81 203 953
4 4 964 778 878
944 226 817 1 1 015 535 363 (Note 2)
1 1 060 063 194
2 2 004 290 011
2 2 075 598 557
(Note 2)
259 303 805
69 330 328
2 2 637 524 688
2 2 2 2 566 216 142 (Note 2)
(20 505 626)
2 945 653 195
2 2 874 344 649 (Note 2)
14
835 672
2 960 488 867
2 2 2 889 180 321 (Note 2)
Item
Year
2018 2019
2020
2021
2022 120
Note Note 1: Other assets assets assets consist of of deferred income tax assets assets assets refundable deposits and other noncurrent assets assets assets Note Note 2: The amount was approved by Board of of Directors on on February 14
2023 
   120   121   122   123   124