image
$ 186.01
-1.32 %
$ 815 B
Market Cap
29.81
P/E
BALANCE SHEET
5.53 T ASSETS
11.43%
2.05 T LIABILITIES
2.24%
3.43 T EQUITY
16.43%
BALANCE SHEET DECOMPOSITION
Balance Sheet Decomposition Taiwan Semiconductor Manufacturing Company Limited
image
Current Assets 2.19 T
Cash & Short-Term Investments 1.69 T
Receivables 202 B
Other Current Assets 304 B
Non-Current Assets 3.34 T
Long-Term Investments 129 B
PP&E 3.1 T
Other Non-Current Assets 104 B
Current Liabilities 914 B
Accounts Payable 57.3 B
Short-Term Debt 9.29 B
Other Current Liabilities 847 B
Non-Current Liabilities 1.14 T
Long-Term Debt 947 B
Other Non-Current Liabilities 189 B

Balance Sheet

Millions
Dec-2023 Dec-2022 Dec-2021 Dec-2020 Dec-2019 Dec-2018 Dec-2017 Dec-2016 Dec-2015 Dec-2014 Dec-2013 Dec-2012 Dec-2011 Dec-2010 Dec-2009 Dec-2008 Dec-2007 Dec-2006 Dec-2005 Dec-2004 Dec-2003 Dec-2002 Dec-2001 Dec-2000 Dec-1999 Dec-1998 Dec-1997
ASSETS
Cash & Cash Equivalents 1 465 427.8 1 342 814.1 1 064 990.2 660 170.6 455 399.3 577 814.6 553 391.7 541 253.8 562 688.9 358 449.0 242 695.4 143 410.6 143 472.3 147 887.0 171 276.3 195 144.8 94 992.5 117 817.5 96 772.4 74 421.6 102 818.3 67 908.1 40 522.7 38 840.2 17 646.0 9 661.9 12 852.9
Short Term Investments 222 341.0 243 686.0 140 082.5 141 982.0 139 064.4 135 941.4 103 185.4 94 950.5 27 777.3 81 952.0 3 148.9 7 981.0 7 149.8 34 708.8 24 520.9 16 881.3 78 218.8 77 226.4 47 541.2 54 199.7 13 582.3 170.3 2 498.1 2 351.6 927.3 5 895.7 5 060.7
Receivables 201 938.4 231 339.8 198 301.4 146 038.4 139 770.7 129 197.8 122 317.3 129 304.8 85 565.4 115 047.7 71 941.6 58 317.0 46 138.3 43 106.9 37 353.5 18 596.9 42 667.2 0 38 497.1 27 733.8 26 349.7 16 285.4 20 837.3 28 004.2 13 664.7 7 438.9 9 328.3
Inventory 250 997.1 221 149.1 193 102.3 137 353.4 82 981.2 103 231.0 73 880.7 48 682.2 67 052.3 66 338.0 37 494.9 37 830.5 24 840.6 28 406.0 20 913.8 14 916.9 23 863.3 21 427.9 17 781.3 15 594.3 12 122.2 11 221.0 10 955.8 12 785.7 5 842.7 4 049.7 4 890.3
Other Current Assets 53 453.0 38 922.2 10 793.2 6 776.2 5 490.4 5 619.1 4 566.5 3 717.9 3 835.6 5 146.6 3 205.8 2 786.4 2 174.0 7 410.7 5 739.2 5 783.0 10 086.3 1 397.3 12 298.4 12 805.1 11 375.2 6 643.5 1 888.6 11 212.6 5 247.3 1 446.5 2 287.3
Total Current Assets 2 194 032.9 2 052 896.7 1 607 072.9 1 092 185.3 822 613.9 951 679.7 857 203.1 817 729.1 746 744.0 626 566.8 358 486.7 252 288.6 225 260.4 261 519.3 259 803.7 253 307.9 249 834.6 260 275.7 212 890.4 184 754.4 166 247.9 102 715.5 76 702.5 93 194.3 41 689.5 28 492.7 34 419.5
PP&E 3 104 899.8 2 735 751.1 2 007 853.2 1 583 317.5 1 369 609.8 1 072 050.3 1 062 542.3 997 777.7 853 470.4 818 198.8 792 665.9 617 529.4 490 374.9 388 444.0 273 674.8 244 310.5 260 264.6 254 055.2 245 555.9 259 334.4 211 511.1 246 927.0 265 614.8 244 747.9 120 695.2 98 538.9 79 332.3
Intangible Assets 16 970.3 20 207.3 21 442.5 20 331.6 14 959.7 11 206.6 8 526.4 8 606.9 7 961.1 7 642.7 5 862.9 5 435.9 5 167.6 6 027.1 6 458.6 7 144.7 7 923.1 5 800.1 6 028.6 7 131.5 8 692.7 10 176.5 0 0 0 0 0
Goodwill 5 796.4 5 791.8 5 379.2 5 436.6 5 693.4 5 795.5 5 648.7 6 008.0 6 104.8 5 888.8 5 627.5 5 523.7 5 694.0 5 704.9 5 931.3 6 060.7 5 990.1 5 982.6 0 0 10 158.8 10 158.8 0 0 0 0 0
Long Term Investments 129 442.1 68 927.9 29 384.7 27 728.2 30 172.0 29 304.8 41 569.1 46 153.9 34 993.6 30 051.5 89 183.8 65 786.3 34 458.5 39 775.5 37 845.5 42 748.7 0 0 0 0 0 1 0 0 0 0 0
Other Long Term Assets 81 229.6 12 018.1 5 217.0 5 754.0 3 827.9 3 284.7 4 266.5 1 908.3 1 859.5 1 558.1 3 988.6 3 694.6 5 872.8 10 095.3 9 452.6 211.7 39 570.0 55 342.3 49 780.6 47 385.1 19 151.1 21 612.5 29 428.6 26 314.0 16 839.8 7 467.9 7 923.5
Other Assets 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 1 1 0 0 1
Total Assets 5 532 371.2 4 964 778.9 3 725 503.5 2 760 711.4 2 264 805.0 2 090 128.0 1 991 861.6 1 886 455.3 1 657 518.3 1 495 133.8 1 263 055.0 955 034.6 774 264.9 718 928.9 594 696.2 560 439.5 570 895.7 587 393.0 521 064.2 500 253.5 406 723.3 391 221.6 390 738.8 370 886.0 183 710.4 140 530.6 124 960.8
LIABILITIES
Accounts Payable 57 293.1 268 379.3 193 027.8 196 792.3 179 581.8 76 114.6 84 136.6 89 216.8 44 587.5 48 859.3 104 480.5 59 322.2 46 071.0 12 104.2 39 830.2 5 553.2 11 578.1 8 679.3 9 449.6 7 290.0 6 417.7 5 147.8 1 744.5 8 507.8 3 274.3 2 171.4 13 274.5
Short Term Debt 9 293.3 19 313.9 0 91 159.0 0 88 754.6 63 766.8 57 958.2 62 984.1 36 158.5 15 645.0 34 843.0 30 489.0 31 455.3 949.3 8 307.6 291.9 0 329.5 10 903.3 5 399.0 730.4 16 405.4 3 884.9 5 027.3 299.6 250.7
Other Current Liabilities 748 084.1 535 731.8 486 828.4 290 037.8 378 687.7 152 980.8 205 507.4 160 804.9 99 299.4 111 150.8 47 089.1 32 635.2 29 790.6 72 446.9 29 553.5 44 740.3 33 659.5 97 729.9 21 836.7 45 832.0 19 286.9 34 553.7 20 937.5 35 032.3 18 092.2 6 298.4 1 850.2
Total Current Liabilities 913 583.3 944 226.8 739 503.4 617 151.0 590 735.7 340 542.6 358 706.7 318 239.3 212 228.6 201 014.8 189 777.9 142 435.9 117 006.7 123 191.1 79 133.3 56 960.8 48 709.2 46 853.9 35 227.3 64 025.4 31 103.6 40 432.0 39 087.4 47 425.0 16 249.3 8 769.5 15 375.5
Long Term Debt 946 964.6 868 860.6 634 143.9 43 088.8 40 141.8 56 900.0 91 800.0 21.8 32.5 214 515.9 211 583.8 82 107.5 20 458.5 5 496.6 5 786.1 16 191.0 648.6 14 359.3 20 822.9 21 458.0 38 743.6 46 121.7 27 941.4 52 342.7 42 753.3 31 202.2 20 066.9
Deferred Tax Income 0 1 031.4 1 873.9 1 729.9 344.4 233.3 302.2 141.2 31.3 199.8 (91 610.1) 11 853.9 (444.0) 30 719.7 (1 006.0) 0 0 0 0 0 0 0 0 0 0 0 0
Other Liabilities 188 560.4 191 202.6 181 123.0 249 849.5 11 832.1 15 189.0 18 595.3 178 143.1 222 622.7 33 191.2 13 766.5 4 533.6 4 312.2 10 747.7 9 722.3 5 604.5 30 826.4 17 121.1 17 439.9 15 087.2 8 115.5 8 204.5 36 392.6 9 042.9 (3 602.7) 6 939.5 9 031.5
Total Liabilities 2 049 108.4 2 004 290.0 1 554 770.2 910 089.4 642 709.6 412 631.6 469 102.0 496 404.2 434 883.8 449 458.1 415 279.9 229 280.9 142 221.4 140 224.5 95 647.7 78 756.3 80 184.2 78 334.3 73 490.2 100 570.5 77 962.7 94 758.2 103 421.4 108 810.6 55 399.9 46 911.2 44 473.9
EQUITY
Common Stock 259 320.7 259 303.8 259 303.8 259 303.8 259 303.8 259 303.8 259 303.8 259 303.8 259 303.8 259 296.6 259 286.2 259 244.4 259 162.2 259 100.8 259 027.1 256 954.2 264 286.2 258 255.4 248 040.2 232 900.2 202 309.0 186 552.8 168 325.5 116 893.6 76 718.7 60 371.5 40 930.5
Retained Earnings 3 158 030.8 2 637 524.7 1 906 829.7 1 588 686.1 1 333 335.0 1 376 647.8 1 233 362.0 1 072 008.2 894 293.6 704 512.7 518 193.2 410 601.3 322 191.2 265 779.6 181 882.7 170 517.7 218 875.3 197 096.7 143 198.3 113 914.4 70 967.7 40 863.2 37 507.4 76 924.2 25 065.5 24 124.1 23 781.0
Other Accumulative Comprehensive Income/Loss 0 311 532.3 370 451.0 307 619.0 321 822.0 296 386.1 223 697.7 218 854.8 11 774.1 25 749.3 14 170.3 (2 785.7) (7 606.2) (6 433.9) (1 313.0) 193.8 (392.4) (628.9) (642.6) (2 218.7) 237.7 752.0 1 228.7 (349.9) 7 168.3 (724.9) 4 840.4
Total Equity 3 453 871.6 2 960 488.9 2 170 733.2 1 850 622.0 1 622 095.4 1 677 496.4 1 522 759.6 1 390 051.1 1 222 634.5 1 045 675.7 847 775.1 725 753.7 632 043.6 578 704.4 499 048.5 481 683.2 490 711.5 509 058.7 447 574.1 399 683.0 328 760.6 296 463.4 287 317.4 262 075.4 128 310.5 93 619.4 80 486.8
Total Liabilities and Equity 5 532 371.2 4 964 778.9 3 725 503.5 2 760 711.4 2 264 805.0 2 090 128.0 1 991 861.6 1 886 455.3 1 657 518.3 1 495 133.8 1 263 055.0 955 034.6 774 264.9 718 928.9 594 696.2 560 439.5 570 895.7 587 393.0 521 064.2 500 253.5 406 723.3 391 221.6 390 738.8 370 886.0 183 710.4 140 530.6 124 960.8
SHARES OUTSTANDING
Common Shares Outstanding 25 929.2 5 185.8 5 186.1 5 186.1 5 186.1 5 186.1 5 186.1 5 186.1 5 186.1 5 185.9 5 185.6 5 184.1 5 182.8 5 181.2 5 167.2 5 207.8 5 401.0 5 327.8 5 230.3 5 104.0 5 121.3 5 064.8 4 457.6 4 885.1 3 154.6 3 968.5 3 881.7