Taiwan Semiconductor Manufacturing Company Limited
(TSM)
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- Income Statement
- Blance Sheet
- Cash Flow Statement
Financial Statements
- Key Metrics
- Profitability
- Growth
- Valuation Multiples
- Operating Efficiency
- Liquidity & Solvency
- Cash
Ratio Analytics
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Statement of Cash Flows
(In million USD)
Annual
Quarterly
2022 FY | 2021 FY | 2020 FY | |
---|---|---|---|
Cash Flow from Operating Activities | 17,498 | 21,067 | 13,262 |
Net income | 32,323 | 21,373 | 18,198 |
Add noncash expenses | 13,941 | 14,941 | 11,551 |
Adjustments for changes in working capital | -3,557 | -6,126 | -1,711 |
Cash Flow from Investing Activities | 0 | - | - |
Net payments for property, plant & equipment | 0 | - | - |
Net payments for investments | - | - | - |
Net payments for acquisitions of businesses | - | - | - |
Net payments to acquire loans/leases | - | - | - |
Net payments for other investing activities | - | - | - |
Cash Flow from Financing Activities | - | - | - |
Net proceeds from issuance (payments) of debts | - | - | - |
Payments of financing and debt issuance costs | - | - | - |
Net proceeds of issuance (repurchase) of equity
| - | - | - |
Proceeds from issuance of equity | - | - | - |
Payments for repurchase of equity | - | - | - |
Dividends Paid | - | - | - |
Payments of withholding tax related to share-based compensations | - | - | - |
Net proceeds (payments) from other financing activities | - | - | - |
Effect of Foreign Exchange on Cash | 1,900 | -273 | -837 |
Increase/Decrease in Cash & Cash Equivalents | 19,399 | 20,794 | 12,425 |
Footnotes: | |||
Income Taxes Paid | - | - | - |
Interests Paid | - | - | - |