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中文|English
2330 台灣積體電路製造股份有限公司
2023年第2季合併財務報告
2330 Taiwan Semiconductor Manufacturing Co., Ltd.
2023Q2 Consolidated Financial Report
單位:新臺幣仟元Unit: NT$ thousands
資產負債表Balance Sheet
代號Code 會計項目Accounting Title 2023年6月30日2023/6/30 2022年12月31日2022/12/31 2022年6月30日2022/6/30
資產Assets
 流動資產 Current assets
1100   現金及約當現金  Cash and cash equivalents
1,276,723,984 
1,342,814,083 
1,253,189,197 
1110   透過損益按公允價值衡量之金融資產-流動  Current financial assets at fair value through profit or loss
975,584 
1,070,398 
214,215 
1120   透過其他綜合損益按公允價值衡量之金融資產-流動  Current financial assets at fair value through other comprehensive income
140,774,929 
122,998,543 
120,954,506 
1136   按攤銷後成本衡量之金融資產-流動  Current financial assets at amortised cost
71,452,494 
94,600,219 
51,165,762 
1139   避險之金融資產-流動  Current financial assets for hedging
29,704 
2,329 
44,686 
1170   應收帳款淨額  Accounts receivable, net
190,164,242 
229,755,887 
220,996,537 
1180   應收帳款-關係人淨額  Accounts receivable due from related parties, net
862,572 
1,583,958 
1,072,699 
1210   其他應收款-關係人  Other receivables due from related parties
2,521,323 
68,975 
2,518,059 
130X   存貨  Current inventories
234,332,949 
221,149,148 
217,438,091 
1470   其他流動資產  Other current assets
42,126,426 
38,853,204 
38,272,644 
1476    其他金融資產-流動   Other current financial assets
25,698,767 
25,964,428 
24,931,373 
1479    其他流動資產-其他   Other current assets, others
16,427,659 
12,888,776 
13,341,271 
11XX   流動資產合計  Total current assets
1,959,964,207 
2,052,896,744 
1,905,866,396 
 非流動資產 Non-current assets
1510   透過損益按公允價值衡量之金融資產-非流動  Non-current financial assets at fair value through profit or loss
108,955 
0 
0 
1517   透過其他綜合損益按公允價值衡量之金融資產-非流動  Non-current financial assets at fair value through other comprehensive income
7,516,718 
6,159,200 
6,503,252 
1535   按攤銷後成本衡量之金融資產-非流動  Non-current financial assets at amortised cost
60,139,036 
35,127,215 
34,139,722 
1550   採用權益法之投資  Investments accounted for using equity method
26,845,396 
27,641,505 
23,797,518 
1600   不動產、廠房及設備  Property, plant and equipment
2,947,233,393 
2,693,836,970 
2,248,318,787 
1755   使用權資產  Right-of-use assets
41,595,010 
41,914,136 
34,293,532 
1780   無形資產  Intangible assets
23,849,933 
25,999,155 
27,208,993 
1840   遞延所得稅資產  Deferred tax assets
68,379,721 
69,185,842 
57,848,313 
1900   其他非流動資產  Other non-current assets
13,832,676 
12,018,111 
7,964,822 
1920    存出保證金   Guarantee deposits paid
5,814,759 
4,467,022 
4,125,907 
1990    其他非流動資產-其他   Other non-current assets, others
8,017,917 
7,551,089 
3,838,915 
15XX   非流動資產合計  Total non-current assets
3,189,500,838 
2,911,882,134 
2,440,074,939 
1XXX  資產總計 Total assets
5,149,465,045 
4,964,778,878 
4,345,941,335 
負債及權益Liabilities and equity
 負債 Liabilities
  流動負債  Current liabilities
2100    短期借款   Current borrowings
0 
0 
115,584,794 
2120    透過損益按公允價值衡量之金融負債-流動   Current financial liabilities at fair value through profit or loss
195,001 
116,215 
716,981 
2126    避險之金融負債-流動   Current financial liabilities for hedging
7,237,440 
813 
0 
2170    應付帳款   Accounts payable
47,794,115 
54,879,708 
58,024,952 
2180    應付帳款-關係人   Accounts payable to related parties
1,178,664 
1,642,637 
1,793,114 
2200    其他應付款   Other payables
399,909,598 
454,300,789 
392,182,675 
2201     應付薪資    Wages and salaries payable
24,704,515 
36,435,509 
25,716,367 
2206     應付員工紅利    Employee bonus payable
84,191,607 
61,058,446 
62,377,616 
2207     應付董監事酬勞    Compensation due to directors and supervisors
950,988 
690,128 
794,121 
2213     應付設備款    Payable on machinery and equipment
140,753,488 
213,499,613 
160,489,081 
2216     應付股利    Dividends payable, non-cash assets distributions
149,309,000 
142,617,093 
142,805,490 
2230    本期所得稅負債   Current tax liabilities
70,060,259 
120,801,814 
62,063,783 
2300    其他流動負債   Other current liabilities
284,453,930 
312,484,841 
214,874,682 
2320     一年或一營業週期內到期長期負債    Long-term liabilities, current portion
8,125,556 
19,313,889 
17,059,167 
2399     其他流動負債-其他    Other current liabilities, others
276,328,374 
293,170,952 
197,815,515 
21XX    流動負債合計   Total current liabilities
810,829,007 
944,226,817 
845,240,981 
  非流動負債  Non-current liabilities
2530    應付公司債   Bonds payable
901,710,299 
834,336,439 
753,889,823 
2540    長期借款   Non-current portion of non-current borrowings
5,611,138 
4,760,047 
3,318,773 
2541     銀行長期借款    Long-term bank loans
5,611,138 
4,760,047 
3,318,773 
2570    遞延所得稅負債   Deferred tax liabilities
373,563 
1,031,383 
940,675 
2580    租賃負債-非流動   Non-current lease liabilities
29,734,633 
29,764,097 
22,510,412 
2600    其他非流動負債   Other non-current liabilities
195,738,206 
190,171,228 
209,578,546 
2640     淨確定福利負債-非流動    Net defined benefit liability, non-current
8,604,642 
9,321,091 
8,513,260 
2645     存入保證金    Guarantee deposits received
953,163 
892,021 
834,170 
2670     其他非流動負債-其他    Other non-current liabilities, others
186,180,401 
179,958,116 
200,231,116 
25XX    非流動負債合計   Total non-current liabilities
1,133,167,839 
1,060,063,194 
990,238,229 
2XXX   負債總計  Total liabilities
1,943,996,846 
2,004,290,011 
1,835,479,210 
 權益 Equity
  歸屬於母公司業主之權益  Equity attributable to owners of parent
   股本   Share capital
3110     普通股股本    Ordinary share
259,320,710 
259,303,805 
259,303,805 
3100     股本合計    Total Share Capital
259,320,710 
259,303,805 
259,303,805 
   資本公積   Capital surplus
3210     資本公積-發行溢價    Capital surplus, additional paid-in capital
33,299,225 
33,076,016 
33,076,016 
3211      資本公積-普通股股票溢價     Capital surplus, additional paid-in capital arising from ordinary share
24,406,854 
24,183,645 
24,183,645 
3213      資本公積-轉換公司債轉換溢價     Capital surplus, additional paid-in capital arising from bond conversion
8,892,371 
8,892,371 
8,892,371 
3230     資本公積-實際取得或處分子公司股權價格與帳面價值差額    Capital surplus, difference between consideration and carrying amount of subsidiaries acquired or disposed
8,406,282 
8,406,282 
8,406,282 
3235     資本公積-認列對子公司所有權權益變動數    Capital Surplus, changes in ownership interests in subsidiaries
4,225,043 
4,229,892 
4,249,344 
3250     資本公積-受贈資產    Capital surplus, donated assets received
64,955 
64,955 
51,750 
3251      資本公積-受領股東贈與     Capital surplus, donated assets received from shareholder
11,275 
11,275 
11,275 
3252      資本公積-其他受贈資產     Capital surplus, other donated assets received
53,680 
53,680 
40,475 
3260     資本公積-採用權益法認列關聯企業及合資股權淨值之變動數    Capital surplus, changes in equity of associates and joint ventures accounted for using equity method
312,863 
311,863 
308,938 
3270     資本公積-合併溢額    Capital surplus, net assets from merger
22,803,291 
22,803,291 
22,803,291 
3273     資本公積-限制員工權利股票    Capital Surplus, restricted stock
783,883 
438,029 
438,029 
3200     資本公積合計    Total capital surplus
69,895,542 
69,330,328 
69,333,650 
   保留盈餘   Retained earnings
3310     法定盈餘公積    Legal reserve
311,146,899 
311,146,899 
311,146,899 
3320     特別盈餘公積    Special reserve
23,593,925 
3,154,310 
47,067,461 
3350     未分配盈餘(或待彌補虧損)    Unappropriated retained earnings (accumulated deficit)
2,542,569,779 
2,323,223,479 
1,844,911,241 
3300     保留盈餘合計    Total retained earnings
2,877,310,603 
2,637,524,688 
2,203,125,601 
   其他權益   Other equity interest
3400     其他權益合計    Total other equity interest
(17,776,400)
(20,505,626)
(35,409,864)
3500    庫藏股票   Treasury shares
(0)
(0)
(0)
31XX    歸屬於母公司業主之權益合計   Total equity attributable to owners of parent
3,188,750,455 
2,945,653,195 
2,496,353,192 
36XX   非控制權益  Non-controlling interests
16,717,744 
14,835,672 
14,108,933 
3XXX   權益總額  Total equity
3,205,468,199 
2,960,488,867 
2,510,462,125 
3X2X  負債及權益總計 Total liabilities and equity
5,149,465,045 
4,964,778,878 
4,345,941,335 
3998  預收股款(權益項下)之約當發行股數 Equivalent issue shares of advance receipts for ordinary share
0 
0 
0 
3999  母公司暨子公司所持有之母公司庫藏股股數(單位:股) Number of shares in entity held by entity and by its subsidiaries
0 
0 
0 

單位:新臺幣仟元 每股盈餘單位:新台幣元Unit: NT$ thousands EPS Unit: NT$
綜合損益表Statement of Comprehensive Income
代號Code 會計項目Accounting Title 2023年4月1日至6月30日2023/4/1To6/30 2022年4月1日至6月30日2022/4/1To6/30 2023年1月1日至6月30日2023/1/1To6/30 2022年1月1日至6月30日2022/1/1To6/30
營業收入Operating revenue
4000  營業收入合計 Total operating revenue
480,841,254 
534,140,808 
989,474,227 
1,025,216,681 
營業成本Operating costs
5000  營業成本合計 Total operating costs
220,641,407 
218,672,814 
442,773,988 
436,545,521 
5900 營業毛利(毛損)Gross profit (loss) from operations
260,199,847 
315,467,994 
546,700,239 
588,671,160 
5950 營業毛利(毛損)淨額Gross profit (loss) from operations
260,199,847 
315,467,994 
546,700,239 
588,671,160 
營業費用Operating expenses
6100  推銷費用 Selling expenses
2,365,893 
2,156,794 
5,042,253 
4,219,417 
6200  管理費用 Administrative expenses
14,163,389 
11,568,594 
27,639,337 
22,068,621 
6300  研究發展費用 Research and development expenses
41,665,278 
39,649,130 
80,822,314 
75,697,670 
6000  營業費用合計 Total operating expenses
58,194,560 
53,374,518 
113,503,904 
101,985,708 
其他收益及費損淨額Net other income (expenses)
6500  其他收益及費損淨額 Net other income (expenses)
(47,244)
30,273 
(135)
(771,585)
6900 營業利益(損失)Net operating income (loss)
201,958,043 
262,123,749 
433,196,200 
485,913,867 
營業外收入及支出Non-operating income and expenses
 利息收入 Interest income
7101   銀行存款利息  Interest income from bank deposits
11,496,148 
2,673,691 
23,109,878 
3,665,684 
7102   按攤銷後成本衡量之金融資產利息收入  Interest income from financial assets measured at amortised cost
1,239,859 
270,133 
2,412,253 
411,529 
7106   透過其他綜合損益按公允價值衡量之金融資產利息收入  Interest income from financial assets measured at fair value through other comprehensive income
936,014 
602,121 
1,767,708 
1,142,611 
7100   利息收入合計  Total interest income
13,672,021 
3,545,945 
27,289,839 
5,219,824 
 其他收入 Other income
7190   其他收入-其他  Other income, others
237,652 
512,177 
325,562 
820,560 
7010   其他收入合計  Total other income
237,652 
512,177 
325,562 
820,560 
 其他利益及損失 Other gains and losses
7020   其他利益及損失淨額  Other gains and losses, net
678,161 
462,636 
1,934,076 
1,937,228 
 財務成本 Finance costs
7050   財務成本淨額  Finance costs, net
3,005,155 
2,904,231 
5,968,841 
5,044,997 
 採用權益法認列之關聯企業及合資損益之份額 Share of profit (loss) of associates and joint ventures accounted for using equity method
7060   採用權益法認列之關聯企業及合資損益之份額淨額  Share of profit (loss) of associates and joint ventures accounted for using equity method, net
1,134,187 
2,258,005 
2,173,004 
3,983,495 
7000  營業外收入及支出合計 Total non-operating income and expenses
12,716,866 
3,874,532 
25,753,640 
6,916,110 
7900 繼續營業單位稅前淨利(淨損)Profit (loss) from continuing operations before tax
214,674,909 
265,998,281 
458,949,840 
492,829,977 
所得稅費用(利益)Tax expense (income)
7950  所得稅費用(利益)合計 Total tax expense (income)
32,957,903 
28,818,029 
70,283,798 
52,776,351 
8000 繼續營業單位本期淨利(淨損)Profit (loss) from continuing operations
181,717,006 
237,180,252 
388,666,042 
440,053,626 
8200 本期淨利(淨損)Profit (loss)
181,717,006 
237,180,252 
388,666,042 
440,053,626 
其他綜合損益(淨額)Other comprehensive income
 不重分類至損益之項目 Components of other comprehensive income that will not be reclassified to profit or loss
8316   透過其他綜合損益按公允價值衡量之權益工具投資未實現評價損益  Unrealised gains (losses) from investments in equity instruments measured at fair value through other comprehensive income
435,975 
(143,758)
996,548 
172,201 
8317   避險工具之損益-不重分類至損益  Gains (losses) on hedging instrument that will not be reclassified to profit or loss
1,088 
0 
39,898 
0 
8320   採用權益法認列之關聯企業及合資之其他綜合損益之份額-不重分類至損益之項目  Share of other comprehensive income of associates and joint ventures accounted for using equity method, components of other comprehensive income that will not be reclassified to profit or loss
(40,581)
11,248 
(45,016)
55,087 
8349   與不重分類之項目相關之所得稅  Income tax related to components of other comprehensive income that will not be reclassified to profit or loss
1 
(246)
25 
(231)
8310   不重分類至損益之項目總額  Components of other comprehensive income that will not be reclassified to profit or loss
396,481 
(132,264)
991,405 
227,519 
 後續可能重分類至損益之項目 Components of other comprehensive income that will be reclassified to profit or loss
8361   國外營運機構財務報表換算之兌換差額  Exchange differences on translation
6,158,012 
13,866,707 
956,803 
33,212,298 
8367   透過其他綜合損益按公允價值衡量之債務工具投資未實現評價損益  Unrealised gains (losses) from investments in debt instruments measured at fair value through other comprehensive income
(950,705)
(3,184,221)
401,176 
(8,289,365)
8368   避險工具之損益  Gains (losses) on hedging instrument
(18,296)
648,756 
(36,259)
1,342,584 
8370   採用權益法認列之關聯企業及合資之其他綜合損益之份額-可能重分類至損益之項目  Share of other comprehensive income of associates and joint ventures accounted for using equity method, components of other comprehensive income that will be reclassified to profit or loss
73,612 
127,191 
50,206 
291,650 
8399   與可能重分類之項目相關之所得稅  Income tax related to components of other comprehensive income that will be reclassified to profit or loss
0 
(53,336)
0 
(6,036)
8360   後續可能重分類至損益之項目總額  Components of other comprehensive income that will be reclassified to profit or loss
5,262,623 
11,511,769 
1,371,926 
26,563,203 
8300  其他綜合損益(淨額) Total other comprehensive income
5,659,104 
11,379,505 
2,363,331 
26,790,722 
8500 本期綜合損益總額Total comprehensive income
187,376,110 
248,559,757 
391,029,373 
466,844,348 
淨利(損)歸屬於:Profit (loss), attributable to:
8610  母公司業主(淨利/損) Profit (loss), attributable to owners of parent
181,799,021 
237,027,317 
388,785,582 
439,760,292 
8620  非控制權益(淨利/損) Profit (loss), attributable to non-controlling interests
(82,015)
152,935 
(119,540)
293,334 
綜合損益總額歸屬於:Comprehensive income attributable to:
8710  母公司業主(綜合損益) Comprehensive income, attributable to owners of parent
188,187,010 
249,048,661 
392,021,727 
467,332,315 
8720  非控制權益(綜合損益) Comprehensive income, attributable to non-controlling interests
(810,900)
(488,904)
(992,354)
(487,967)
基本每股盈餘Basic earnings per share
9750  基本每股盈餘合計 Total basic earnings per share
7.01 
9.14 
14.99 
16.96 
稀釋每股盈餘Diluted earnings per share
9850  稀釋每股盈餘合計 Total diluted earnings per share
7.01 
9.14 
14.99 
16.96 

單位:新臺幣仟元Unit: NT$ thousands
現金流量表Statements of Cash Flows
代號Code 會計項目Accounting Title 2023年1月1日至6月30日2023/1/1To6/30 2022年1月1日至6月30日2022/1/1To6/30
營業活動之現金流量-間接法Cash flows from (used in) operating activities, indirect method
A00010  繼續營業單位稅前淨利(淨損) Profit (loss) from continuing operations before tax
458,949,840 
492,829,977 
A10000  本期稅前淨利(淨損) Profit (loss) before tax
458,949,840 
492,829,977 
 調整項目 Adjustments
  收益費損項目  Adjustments to reconcile profit (loss)
A20100    折舊費用   Depreciation expense
229,727,337 
219,975,000 
A20200    攤銷費用   Amortization expense
4,534,992 
4,351,710 
A20300    預期信用減損損失(利益)數/呆帳費用提列(轉列收入)數   Expected credit loss (gain) / Provision (reversal of provision) for bad debt expense
20,314 
22,878 
A20400    透過損益按公允價值衡量金融資產及負債之淨損失(利益)   Net loss (gain) on financial assets or liabilities at fair value through profit or loss
(25,519)
0 
A20900    利息費用   Interest expense
5,968,841 
5,044,997 
A21200    利息收入   Interest income
(27,289,839)
(5,219,824)
A21300    股利收入   Dividend income
(309,672)
(240,840)
A21900    股份基礎給付酬勞成本   Share-based payments
228,352 
141,801 
A22300    採用權益法認列之關聯企業及合資損失(利益)之份額   Share of loss (profit) of associates and joint ventures accounted for using equity method
(2,173,004)
(3,983,495)
A22500    處分及報廢不動產、廠房及設備損失(利益)   Loss (gain) on disposal of property, plan and equipment
333,707 
59,370 
A22800    處分無形資產損失(利益)   Loss (gain) on disposal of intangible assets
(1,539)
0 
A23100    處分投資損失(利益)   Loss (gain) on disposal of investments
257,553 
245,151 
A23700    非金融資產減損損失   Impairment loss on non-financial assets
0 
790,740 
A24100    未實現外幣兌換損失(利益)   Unrealized foreign exchange loss (gain)
519,590 
1,760,843 
A29900    其他項目   Other adjustments to reconcile profit (loss)
(10,497)
(260,642)
A20010    收益費損項目合計   Total adjustments to reconcile profit (loss)
211,780,616 
222,687,689 
  與營業活動相關之資產/負債變動數  Changes in operating assets and liabilities
   與營業活動相關之資產之淨變動   Changes in operating assets
A31115     強制透過損益按公允價值衡量之金融資產(增加)減少    Decrease (increase) in financial assets at fair value through profit or loss, mandatorily measured at fair value
315,337 
(22,297)
A31150     應收帳款(增加)減少    Decrease (increase) in accounts receivable
39,591,637 
(23,410,483)
A31160     應收帳款-關係人(增加)減少    Decrease (increase) in accounts receivable due from related parties
721,386 
(357,375)
A31190     其他應收款-關係人(增加)減少    Decrease (increase) in other receivable due from related parties
(29,497)
(33,677)
A31200     存貨(增加)減少    Adjustments for decrease (increase) in inventories
(13,183,801)
(24,335,770)
A31240     其他流動資產(增加)減少    Adjustments for decrease (increase) in other current assets
(3,545,808)
(3,834,683)
A31250     其他金融資產(增加)減少    Decrease (increase) in other financial assets
1,288,753 
(2,794,688)
A31000     與營業活動相關之資產之淨變動合計    Total changes in operating assets
25,158,007 
(54,788,973)
   與營業活動相關之負債之淨變動   Changes in operating liabilities
A32150     應付帳款增加(減少)    Increase (decrease) in accounts payable
(7,085,593)
10,739,349 
A32160     應付帳款-關係人增加(減少)    Increase (decrease) in accounts payable to related parties
(463,973)
355,928 
A32230     其他流動負債增加(減少)    Adjustments for increase (decrease) in other current liabilities
(54,436,582)
3,426,753 
A32240     淨確定福利負債增加(減少)    Increase (decrease) in net defined benefit liability
(716,449)
(2,523,619)
A32990     其他營業負債增加(減少)    Increase (decrease) in other operating liabilities
40,140,164 
98,394,858 
A32000     與營業活動相關之負債之淨變動合計    Total changes in operating liabilities
(22,562,433)
110,393,269 
A30000    與營業活動相關之資產及負債之淨變動合計   Total changes in operating assets and liabilities
2,595,574 
55,604,296 
A20000   調整項目合計  Total adjustments
214,376,190 
278,291,985 
A33000  營運產生之現金流入(流出) Cash inflow (outflow) generated from operations
673,326,030 
771,121,962 
A33500  退還(支付)之所得稅 Income taxes refund (paid)
(120,833,306)
(60,102,845)
AAAA 營業活動之淨現金流入(流出)Net cash flows from (used in) operating activities
552,492,724 
711,019,117 
投資活動之現金流量Cash flows from (used in) investing activities
B00010  取得透過其他綜合損益按公允價值衡量之金融資產 Acquisition of financial assets at fair value through other comprehensive income
(33,464,026)
(40,949,130)
B00020  處分透過其他綜合損益按公允價值衡量之金融資產 Proceeds from disposal of financial assets at fair value through other comprehensive income
20,019,915 
32,886,262 
B00030  透過其他綜合損益按公允價值衡量之金融資產減資退回股款 Proceeds from capital reduction of financial assets at fair value through other comprehensive income
105,981 
300 
B00040  取得按攤銷後成本衡量之金融資產 Acquisition of financial assets at amortised cost
(74,998,619)
(80,240,090)
B00060  按攤銷後成本衡量之金融資產到期還本 Proceeds from repayments of financial assets at amortised cost
75,503,314 
1,970,939 
B00100  取得透過損益按公允價值衡量之金融資產 Acquisition of financial assets at fair value through profit or loss
(229,044)
0 
B01700  除列避險之金融負債 Derecognition of financial liabilities for hedging
(1,367)
1,519,511 
B02700  取得不動產、廠房及設備 Acquisition of property, plant and equipment
(553,032,845)
(479,857,668)
B02800  處分不動產、廠房及設備 Proceeds from disposal of property, plant and equipment
243,445 
672,885 
B03700  存出保證金增加 Increase in refundable deposits
(1,557,269)
(1,768,173)
B03800  存出保證金減少 Decrease in refundable deposits
272,455 
373,262 
B04500  取得無形資產 Acquisition of intangible assets
(2,220,933)
(3,805,347)
B04600  處分無形資產 Proceeds from disposal of intangible assets
1,539 
0 
B07300  其他預付款項增加 Increase in other prepayments
(33,489)
0 
B07500  收取之利息 Interest received
26,625,674 
4,322,973 
B07600  收取之股利 Dividends received
895,578 
530,906 
B09900  其他投資活動 Other investing activities
10,311,820 
337,473 
BBBB  投資活動之淨現金流入(流出) Net cash flows from (used in) investing activities
(531,557,871)
(564,005,897)
籌資活動之現金流量Cash flows from (used in) financing activities
C00100  短期借款增加 Increase in short-term loans
0 
4,048,589 
C01200  發行公司債 Proceeds from issuing bonds
59,937,930 
128,157,572 
C01300  償還公司債 Repayments of bonds
(12,000,000)
0 
C01600  舉借長期借款 Proceeds from long-term debt
2,450,000 
500,000 
C01700  償還長期借款 Repayments of long-term debt
(786,944)
0 
C03000  存入保證金增加 Increase in guarantee deposits received
184,899 
123,240 
C03100  存入保證金減少 Decrease in guarantee deposits received
(169,956)
(5,683)
C04020  租賃本金償還 Payments of lease liabilities
(1,400,882)
(1,122,427)
C04500  發放現金股利 Cash dividends paid
(142,617,093)
(142,617,093)
C04900  庫藏股票買回成本 Payments to acquire treasury shares
0 
(871,566)
C05500  處分子公司股權(未喪失控制力) Disposal of ownership interests in subsidiaries (without losing control)
0 
0 
C05600  支付之利息 Interest paid
(7,421,274)
(4,657,300)
C05800  非控制權益變動 Change in non-controlling interests
3,073,165 
16,438,934 
C09900  其他籌資活動 Other financing activities
7,674,240 
0 
CCCC  籌資活動之淨現金流入(流出) Net cash flows from (used in) financing activities
(91,075,915)
(5,734)
DDDD 匯率變動對現金及約當現金之影響Effect of exchange rate changes on cash and cash equivalents
4,050,963 
41,191,519 
EEEE 本期現金及約當現金增加(減少)數Net increase (decrease) in cash and cash equivalents
(66,090,099)
188,199,005 
E00100 期初現金及約當現金餘額Cash and cash equivalents at beginning of period
1,342,814,083 
1,064,990,192 
E00200 期末現金及約當現金餘額Cash and cash equivalents at end of period
1,276,723,984 
1,253,189,197 
E00210  資產負債表帳列之現金及約當現金 Cash and cash equivalents reported in the statement of financial position
1,276,723,984 
1,253,189,197 

單位:新臺幣仟元Unit: NT$ thousands
當期權益變動表Statements of Change in Equity
3110 3100 3200 3310 3320 3350 3300 3410 3420 3450 3490 3400 31XX 36XX 3XXX
普通股股本      Ordinary share 股本合計     Total share capital 資本公積     Capital surplus 法定盈餘公積      Legal reserve 特別盈餘公積      Special reserve 未分配盈餘(或待彌補虧損)      Unappropriated retained earnings (accumulated deficit) 保留盈餘合計     Total retained earnings 國外營運機構財務報表換算之兌換差額      Exchange differences on translation of foreign financial statements 透過其他綜合損益按公允價值衡量之金融資產未實現評價(損)益      Unrealised gains (losses) on financial assets measured at fair value through other comprehensive income 避險工具之利益(損失)      Gains (losses) on hedging instruments 其他      Others 其他權益項目合計     Total other equity interest 歸屬於母公司業主之權益總計    Total equity attributable to owners of parent 非控制權益    Non-controlling interests 權益總額   Total equity
A1 期初餘額  Equity at beginning of period
259,303,805 
259,303,805 
69,330,328 
311,146,899 
3,154,310 
2,323,223,479 
2,637,524,688 
(11,743,301)
(10,056,353)
1,479,181 
(185,153)
(20,505,626)
2,945,653,195 
14,835,672 
2,960,488,867 
B3 提列特別盈餘公積   Special reserve appropriated
0 
0 
0 
0 
20,439,615 
(20,439,615)
0 
0 
0 
0 
0 
0 
0 
0 
0 
B5 普通股現金股利   Cash dividends of ordinary share
0 
0 
0 
0 
0 
(149,104,759)
(149,104,759)
0 
0 
0 
0 
0 
(149,104,759)
0 
(149,104,759)
C7 採用權益法認列之關聯企業及合資之變動數   Changes in equity of associates and joint ventures accounted for using equity method
0 
0 
1,000 
0 
0 
0 
0 
0 
0 
0 
0 
0 
1,000 
0 
1,000 
D1 本期淨利(淨損)  Profit (loss)
0 
0 
0 
0 
0 
388,785,582 
388,785,582 
0 
0 
0 
0 
0 
388,785,582 
(119,540)
388,666,042 
D3 本期其他綜合損益  Other comprehensive income
0 
0 
0 
0 
0 
0 
0 
1,880,562 
1,344,400 
11,183 
0 
3,236,145 
3,236,145 
(872,814)
2,363,331 
D5 本期綜合損益總額  Total comprehensive income
0 
0 
0 
0 
0 
388,785,582 
388,785,582 
1,880,562 
1,344,400 
11,183 
0 
3,236,145 
392,021,727 
(992,354)
391,029,373 
M7 對子公司所有權權益變動  Changes in ownership interests in subsidiaries
0 
0 
(4,849)
0 
0 
0 
0 
0 
0 
0 
0 
0 
(4,849)
3,079,417 
3,074,568 
N1 股份基礎給付  Share-based payments
21,100 
21,100 
564,868 
0 
0 
0 
0 
0 
0 
0 
(362,884)
(362,884)
223,084 
0 
223,084 
O1 非控制權益增減  Changes in non-controlling interests
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(204,991)
(204,991)
Q1 處分透過其他綜合損益按公允價值衡量之權益工具  Disposal of investments in equity instruments designated at fair value through other comprehensive income
0 
0 
0 
0 
0 
100,478 
100,478 
0 
(100,478)
0 
0 
(100,478)
0 
0 
0 
T1 其他  Others
(4,195)
(4,195)
4,195 
0 
0 
4,614 
4,614 
0 
0 
(43,557)
0 
(43,557)
(38,943)
0 
(38,943)
Y1 權益增加(減少)總額  Total increase (decrease) in equity
16,905 
16,905 
565,214 
0 
20,439,615 
219,346,300 
239,785,915 
1,880,562 
1,243,922 
(32,374)
(362,884)
2,729,226 
243,097,260 
1,882,072 
244,979,332 
Z1 期末餘額  Equity at end of period
259,320,710 
259,320,710 
69,895,542 
311,146,899 
23,593,925 
2,542,569,779 
2,877,310,603 
(9,862,739)
(8,812,431)
1,446,807 
(548,037)
(17,776,400)
3,188,750,455 
16,717,744 
3,205,468,199 

單位:新臺幣仟元Unit: NT$ thousands
去年同期權益變動表 Last year's Statements of Change in Equity
3110 3100 3200 3310 3320 3350 3300 3410 3420 3450 3490 3400 3500 31XX 36XX 3XXX
普通股股本      Ordinary share 股本合計     Total share capital 資本公積     Capital surplus 法定盈餘公積      Legal reserve 特別盈餘公積      Special reserve 未分配盈餘(或待彌補虧損)      Unappropriated retained earnings (accumulated deficit) 保留盈餘合計     Total retained earnings 國外營運機構財務報表換算之兌換差額      Exchange differences on translation of foreign financial statements 透過其他綜合損益按公允價值衡量之金融資產未實現評價(損)益      Unrealised gains (losses) on financial assets measured at fair value through other comprehensive income 避險工具之利益(損失)      Gains (losses) on hedging instruments 其他      Others 其他權益項目合計     Total other equity interest 庫藏股票     Treasury shares 歸屬於母公司業主之權益總計    Total equity attributable to owners of parent 非控制權益    Non-controlling interests 權益總額   Total equity
A1 期初餘額  Equity at beginning of period
259,303,805 
259,303,805 
64,761,602 
311,146,899 
59,304,212 
1,536,378,550 
1,906,829,661 
(63,303,361)
574,310 
120,536 
0 
(62,608,515)
0 
2,168,286,553 
2,446,652 
2,170,733,205 
B3 提列特別盈餘公積   Special reserve appropriated
0 
0 
0 
0 
(12,236,751)
12,236,751 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
B5 普通股現金股利   Cash dividends of ordinary share
0 
0 
0 
0 
0 
(142,617,092)
(142,617,092)
0 
0 
0 
0 
0 
0 
(142,617,092)
0 
(142,617,092)
C7 採用權益法認列之關聯企業及合資之變動數   Changes in equity of associates and joint ventures accounted for using equity method
0 
0 
1,616 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
1,616 
0 
1,616 
D1 本期淨利(淨損)  Profit (loss)
0 
0 
0 
0 
0 
439,760,292 
439,760,292 
0 
0 
0 
0 
0 
0 
439,760,292 
293,334 
440,053,626 
D3 本期其他綜合損益  Other comprehensive income
0 
0 
0 
0 
0 
0 
0 
34,285,148 
(8,118,334)
1,405,209 
0 
27,572,023 
0 
27,572,023 
(781,301)
26,790,722 
D5 本期綜合損益總額  Total comprehensive income
0 
0 
0 
0 
0 
439,760,292 
439,760,292 
34,285,148 
(8,118,334)
1,405,209 
0 
27,572,023 
0 
467,332,315 
(487,967)
466,844,348 
L1 庫藏股買回  Purchase of treasury shares
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(871,566)
(871,566)
0 
(871,566)
L3 庫藏股註銷  Retirement of treasury share
(13,870)
(13,870)
(2,989)
0 
0 
(854,707)
(854,707)
0 
0 
0 
0 
0 
871,566 
0 
0 
0 
M7 對子公司所有權權益變動  Changes in ownership interests in subsidiaries
0 
0 
4,135,392 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
4,135,392 
12,330,767 
16,466,159 
N1 股份基礎給付  Share-based payments
13,870 
13,870 
438,029 
0 
0 
0 
0 
0 
0 
0 
(345,201)
(345,201)
0 
106,698 
0 
106,698 
O1 非控制權益增減  Changes in non-controlling interests
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
0 
(180,519)
(180,519)
Q1 處分透過其他綜合損益按公允價值衡量之權益工具  Disposal of investments in equity instruments designated at fair value through other comprehensive income
0 
0 
0 
0 
0 
7,447 
7,447 
0 
(7,447)
0 
0 
(7,447)
0 
0 
0 
0 
T1 其他  Others
0 
0 
0 
0 
0 
0 
0 
0 
0 
(20,724)
0 
(20,724)
0 
(20,724)
0 
(20,724)
Y1 權益增加(減少)總額  Total increase (decrease) in equity
0 
0 
4,572,048 
0 
(12,236,751)
308,532,691 
296,295,940 
34,285,148 
(8,125,781)
1,384,485 
(345,201)
27,198,651 
0 
328,066,639 
11,662,281 
339,728,920 
Z1 期末餘額  Equity at end of period
259,303,805 
259,303,805 
69,333,650 
311,146,899 
47,067,461 
1,844,911,241 
2,203,125,601 
(29,018,213)
(7,551,471)
1,505,021 
(345,201)
(35,409,864)
0 
2,496,353,192 
14,108,933 
2,510,462,125 

單位:新臺幣仟元
會計師查核(核閱)報告
  會計師事務所名稱
勤業眾信聯合會計師事務所
  簽證會計師名稱 1
吳世宗
  簽證會計師名稱 2
林尚志
  核閱或查核日期
2023-08-08
  報告類型
   核閱報告
Y
  核閱或查核報告類型
   無保留意見/結論
Y
  報告類型細分
  簡述強調事項內容
  簡述其他事項內容
  會計師查核(核閱)報告內容
	             	                   會計師核閱報告

台灣積體電路製造股份有限公司 公鑒:

前  言
  台灣積體電路製造股份有限公司及其子公司(以下簡稱台積公司及其子
公司)民國112年及111年6月30日之合併資產負債表,暨民國112年及111年4
月1日至6月30日與民國112年及111年1月1日至6月30日之合併綜合損益表、
民國112年及111年1月1日至6月30日之合併權益變動表與合併現金流量表,
以及合併財務報表附註(包括重大會計政策彙總),業經本會計師核閱竣事
。依證券發行人財務報告編製準則及經金融監督管理委員會認可並發布生效
之國際會計準則第34號「期中財務報導」編製允當表達之財務報表係管理階
層之責任,本會計師之責任係依據核閱結果對合併財務報表作成結論。
範  圍
  本會計師係依照核閱準則2410號「財務報表之核閱」執行核閱工作。核
閱合併財務報表時所執行之程序包括查詢(主要向負責財務與會計事務之人
員查詢)、分析性程序及其他核閱程序。核閱工作之範圍明顯小於查核工作
之範圍,因此本會計師可能無法察覺所有可藉由查核工作辨認之重大事項,
故無法表示查核意見。
結  論
  依本會計師核閱結果,並未發現上開合併財務報表在所有重大方面有未
依照證券發行人財務報告編製準則及經金融監督管理委員會認可並發布生效
之國際會計準則第34號「期中財務報導」編製,致無法允當表達台積公司及
其子公司民國112年及111年6月30日之合併財務狀況,暨民國112年及111年4
月1日至6月30日之合併財務績效及民國112年及111年1月1日至6月30日之合併
財務績效及合併現金流量之情事。

勤業眾信聯合會計師事務所
會 計 師    吳    世    宗	       會 計 師    林    尚    志



金融監督管理委員會核准文號           金融監督管理委員會核准文號
 金管證審字第1010028123號               金管證審字第1090347472號

中    華    民    國  112  年  8  月  8  日




  截至本季止採用其他會計師查核意見(核閱報告)之子公司期末資產總額
0 
  截至本季止採用其他會計師查核意見(核閱報告)之子公司營業收入淨額
0 
  本季採用其他會計師查核意見(核閱報告)之子公司營業收入淨額
0 
  截至本季止採用其他會計師查核意見(核閱報告)之採用權益法之投資期末餘額
0 
  截至本季止採用其他會計師查核意見(核閱報告)之採用權益法之投資當期認列關聯企業及合資損益之份額
0 
  本季採用其他會計師查核意見(核閱報告)之採用權益法之投資當期認列關聯企業及合資損益之份額
0 
  截至本季止未經會計師查核(核閱)之子公司期末資產總額
0 
  截至本季止未經會計師查核(核閱)之子公司綜合損益金額
0 
  本季未經會計師查核(核閱)之子公司綜合損益金額
0 
  截至本季止未經會計師查核(核閱)之採用權益法之投資期末餘額
0 
  截至本季止未經會計師查核(核閱)之採用權益法之投資當期認列關聯企業及合資損益之份額
0 
  本季未經會計師查核(核閱)之採用權益法之投資當期認列關聯企業及合資損益之份額
0 
Unit: NT$ thousands
Independent Auditors' (Review) Report
  Name of CPA Firm
Deloitte & Touche
  Name of CPA 1
Shih Tsung Wu
  Name of CPA 2
Shang Chih Lin
  Date of Audit (Review)
2023-08-08
  Type of Report
   Review Report
Y
  Type of Opinion
   Unqualified Opinion or Conclusion
Y
  Situations for not Issuing a Standard Unqualified Opinion or Conclusion
  Description of Matter Emphasized
  Description of Other Matter
  Content of Independent Auditors Report
INDEPENDENT AUDITORS’ REVIEW REPORT


The Board of Directors and Shareholders
Taiwan Semiconductor Manufacturing Company Limited

Introduction

We have reviewed the accompanying consolidated balance sheets of Taiwan Semiconductor 
Manufacturing Company Limited and its subsidiaries (collectively, the“Company”) as 
of June 30, 2023 and 2022, the related consolidated statements of comprehensive income 
for the three months ended June 30, 2023 and 2022 and for the six months ended June 30, 
2023 and 2022, the consolidated statements of changes in equity, and of cash flows for 
the six months then ended, and the related notes to the consolidated financial statements, 
including a summary of significant accounting policies (collectively referred to as the 
“consolidated financial statements”).Management is responsible for the preparation and 
fair presentation of the consolidated financial statements in accordance with the Regulations 
Governing the Preparation of Financial Reports by Securities Issuers and International 
Accounting Standard 34 “Interim Financial Reporting” endorsed and issued into effect by 
the Financial Supervisory Commission of the Republic of China. Our responsibility is to 
express a conclusion on the consolidated financial statements based on our reviews.

Scope of Review

We conducted our reviews in accordance with the Standards on Review Engagements of the 
Republic of China 2410 “Review of Interim Financial Information Performed by the Independent 
Auditor of the Entity”.  A review of consolidated financial statements consists of making 
inquiries, primarily of persons responsible for financial and accounting matters, and applying 
analytical and other review procedures.  A review is substantially less in scope than an audit 
and consequently does not enable us to obtain assurance that we would become aware of all 
significant matters that might be identified in an audit. Accordingly, we do not express an 
audit opinion.

Conclusion

Based on our reviews, nothing has come to our attention that caused us to believe that the 
accompanying consolidated financial statements do not present fairly, in all material  respects 
the consolidated financial position of the Company as of June 30, 2023 and 2022, its 
consolidated financial performance for the three months ended June 30, 2023 and 2022, and its 
consolidated financial performance and its consolidated cash flows for the six months ended June 
30, 2023 and 2022 in accordance with the Regulations Governing the Preparation of Financial 
Reports by Securities Issuers and International Accounting Standard 34 “Interim Financial 
Reporting” endorsed and issued into effect by the Financial Supervisory Commission of the 
Republic of China.

The engagement partners on the reviews resulting in this independent auditors’ review report 
are Shih Tsung Wu and Shang Chih Lin.




Deloitte & Touche
Taipei, Taiwan
Republic of China

August 8, 2023


                Notice to Readers
                ------------------------

The accompanying consolidated financial statements are intended only to present the 
consolidated financial position, financial performance and cash flows in accordance 
with accounting principles and practices generally accepted in the Republic of China 
and not those of any other jurisdictions. The standards, procedures and practices to 
review such consolidated financial statements are those generally applied in the 
Republic of China.

For the convenience of readers, the independent auditors’ review report and the 
accompanying consolidated financial statements have been translated into English 
from the original Chinese version prepared and used in the Republic of China.  If 
there is any conflict between the English version and the original Chinese version 
or any difference in the interpretation of the two versions, the Chinese-language 
independent auditors’review report and consolidated financial statements shall 
prevail.
  Ending balance of assets of subsidiaries whose financial statements were audited or reviewed by other independent accountants
0 
  Total year-to-date revenues of subsidiaries whose financial statements were audited or reviewed by other independent accountants
0 
  Total revenues for the quarter of subsidiaries whose financial statements were audited or reviewed by other independent accountants
0 
  Ending balance of investments accounted for using equity method whose financial statements were audited or reviewed by other independent accountants
0 
  Share of year-to-date profit (loss) of associates and joint ventures accounted for using equity method which audited by other independent accountants
0 
  Share of profit (loss) for the quarter of associates and joint ventures accounted for using equity method whose financial statements were audited or reviewed by other independent accountants
0 
  Ending balance of assets of subsidiaries whose financial statements were on unaudited or unreviewed
0 
  Year-to-date comprehensive income of subsidiaries whose financial statements were unaudited or unreviewed
0 
  Comprehensive income for the quarter of subsidiaries whose financial statements were unaudited or unreviewed
0 
  Ending balance of investments accounted for using equity method whose financial statements were unaudited or unreviewed
0 
  Share of year-to-date profit (loss) of associates and joint ventures accounted for using equity method whose financial statements were unaudited or unreviewed
0 
  Share of profit (loss) for the quarter of associates and joint ventures accounted for using equity method whose financial statements were unaudited or unreviewed
0 

財務報表附註
公司沿革及業務範圍
  公司沿革及業務範圍

一、公司沿革
    台灣積體電路製造股份有限公司(以下簡稱台積公司)設立於76
    年2月21日。主要從事於有關積體電路及其他半導體裝置之製造、銷
    售、封裝測試與電腦輔助設計及光罩製造等代工業務。台積公司股票
    自83年9月5日起於台灣證券交易所上市。86年10月8日起,台積公司
    部分已發行之股票以美國存託憑證方式於紐約證券交易所上市。台積
    公司註冊地及業務主要營運據點為新竹科學園區力行6路8號。台積公
    司之子公司之主要營運活動,請參閱附註四之說明。


通過財報之日期及程序
  通過財報之日期及程序

二、通過財務報告之日期及程序
    本合併財務報告業已於112年8月8日經本公司董事會核准並通
    過發布。


新發布及修訂準則及解釋之適用
  新發布及修訂準則及解釋之適用

三、新發布及修訂準則及解釋之適用
 (一)首次適用金融監督管理委員會(以下稱「金管會」)認可並發布生效
      之國際財務報導準則(IFRS)、國際會計準則(IAS)、解釋(IFRIC)
      及解釋公告(SIC)(以下稱「IFRSs」)
          適用金管會認可並發布生效之IFRSs不致造成台積公司及其子公司
     (以下合稱本公司)會計政策之重大變動。
   (二)國際會計準則理事會(IASB)已發布並但尚未經金管會認可並發布生
       效之IFRSs
       新 發 布 ╱ 修 正 ╱ 修 訂 準 則 及 解 釋   IASB 發布之生效日
       國際財務報導準則第10號及國際會計準則第28
         號之修正「投資者與其關聯企業或合資間之資
         產出售或投入」                             未    定
       國際會計準則第12號之修正「國際租稅變革-支
          柱二規則範本」                            註
       國際會計準則第1號之修正「負債分類為流動或
          非流動」與「具合約條款之非流動負債」      2024年1月1日

       註:該修正於2023年5月發布後,應立即適用例外規定及揭露已適用之
           事實;其他揭露規定於2023年1月1日以後開始之年度報導期間適
           用,期中期間結束日為2023年12月31以前者之期中財務報導不適
           用該等其他揭露規定。
           截至本合併財務報告發布日止,本公司仍持續評估上述準則、解
       釋之修正及相關適用期間對財務狀況與財務績效之影響,相關影響待
       評估完成時予以揭露。


重大會計政策之彙總說明
  遵循聲明

(一)遵循聲明
    本合併財務報告係依照證券發行人財務報告編製準則及經金管
  會認可並發布生效之國際會計準則第34號「期中財務報導」編製。
  本合併財務報告並未包含整份年度財務報告所規定之所有經金管會
  認可並發布生效IFRSs揭露資訊。

   合併報表編製原則

(二)合併基礎及原則
      1.合併報告編製原則
         本合併財務報告所採用之合併報告編製基礎及原則與111
        年度合併財務報告相同。


列入合併財務報表之子公司
投資公司名稱 子公司名稱 業務性質 所持股權百分比 說明
本期 去年年底 去年同期
台積公司
TSMC North America
積體電路及其他半導體裝置之銷售業務
100.00% 
100.00% 
100.00% 
台積公司
TSMC Europe B.V.(TSMC Europe)
客戶服務及支援業務
100.00% 
100.00% 
100.00% 
註一
台積公司
TSMC Japan Limited(TSMC Japan)
客戶服務及支援業務
100.00% 
100.00% 
100.00% 
註一
台積公司
TSMC Design Technology Japan, Inc. (TSMC JDC)
工程支援業務
100.00% 
100.00% 
100.00% 
註一
台積公司
TSMC Japan 3DIC R&D Center, Inc. (TSMC 3DIC)
工程支援業務
100.00% 
100.00% 
100.00% 
註一
台積公司
TSMC Korea Limited(TSMC Korea)
客戶服務及支援業務
100.00% 
100.00% 
100.00% 
註一
台積公司
TSMC Partners, Ltd.(TSMC Partners)
半導體設計、製造等相關投資業務及一般投資業務
100.00% 
100.00% 
100.00% 
台積公司
TSMC Global Ltd.(TSMC Global)
一般投資業務
100.00% 
100.00% 
100.00% 
台積公司
台積電(中國)有限公司(台積電中國子公司)
積體電路及其他半導體裝置之製造、銷售、測試與電腦輔助設計
100.00% 
100.00% 
100.00% 
台積公司
台積電(南京)有限公司(台積電南京子公司)
積體電路及其他半導體裝置之製造、銷售、測試與電腦輔助設計
100.00% 
100.00% 
100.00% 
台積公司
采鈺科技股份有限公司(采鈺公司)
彩色濾光膜產品相關研究、設計、開發、製造、銷售及封裝測試
68.00% 
68.00% 
68.00% 
台積公司
TSMC Arizona Corporation(TSMC Arizona)
積體電路及其他半導體裝置之製造、銷售與測試
100.00% 
100.00% 
100.00% 
註二
台積公司
Japan Advanced Semiconductor Manufacturing, Inc.(JASM)
積體電路及其他半導體裝置之製造、銷售、測試與電腦輔助設計
71.00% 
71.00% 
71.00% 
註一及註三
台積公司
European Semiconductor Manufacturing Company  GmbH(ESMC)
積體電路及其他半導體裝置之製造、銷售與測試
100.00% 
0.00% 
0.00% 
註一及註四
台積公司
VentureTech Alliance Fund II, L.P.(VTAF II)
新創科技事業之投資
98.00% 
98.00% 
98.00% 
註一
台積公司
VentureTech Alliance Fund III, L.P.(VTAF III)
新創科技事業之投資
98.00% 
98.00% 
98.00% 
註一
台積公司
Emerging Fund L.P.(Emerging Fund)
新創科技事業之投資
99.90% 
99.90% 
99.90% 
註一
TSMC Partners
TSMC Development, Inc.(TSMC Development)
半導體製造相關投資業務
100.00% 
100.00% 
100.00% 
TSMC Partners
TSMC Technology, Inc.(TSMC Technology)
工程支援業務
100.00% 
100.00% 
100.00% 
註一
TSMC Partners
TSMC Design Technology Canada Inc.(TSMC Canada)
工程支援業務
100.00% 
100.00% 
100.00% 
註一
TSMC Development
WaferTech, LLC(WaferTech)
積體電路及其他半導體裝置之製造、銷售與測試
100.00% 
100.00% 
100.00% 
VTAF III
Growth Fund Limited(Growth Fund)
新創科技事業之投資
100.00% 
100.00% 
100.00% 
註一
備註
註一:財務報表未經會計師核閱或查核之非重大子公司。
註二:依據TSMC Arizona與City of Phoenix簽訂之開發協議,City of Phoenix承諾於約定之晶
      圓廠興建區域投入各項公共基礎設施約2.05億美元,而TSMC Arizona需至少達到特定之
      投資金額及創造特定數額之就業機會。
註三:本公司對JASM所有權及表決權百分比分別為71%及81%。
註四:ESMC於112年6月設立。
未列入合併財務報表之子公司
無此情形/免揭露

   衍生金融工具及避險會計

(四)避險會計
    國外營運機構淨投資避險
      本公司指定部分避險工具(外幣借款)進行國外營運機構淨投
    資避險,以規避部分因匯率波動所導致之國外營運機構財務報表換
    算之兌換差額。避險工具之利益及損失屬有效避險部分,認列於其
    他綜合損益並累計列入國外營運機構財務報表換算之兌換差額;屬
    避險無效部分則立即認列為損益。
      屬避險有效而累計列入國外營運機構財務報表換算之兌換差額
    之金額,應於處分或部分處分國外營運機構時重分類至損益。

  員工福利

(三)退職後福利
    期中期間之退休金成本係採用前一財務年度結束日依精算決定
    之退休金成本率,以年初至當期期末為基礎計算。

  所得稅

(五)所得稅
    所得稅費用係當期所得稅及遞延所得稅之總和。期中所得稅費
    用係以年度為基礎進行評估,以預期年度總盈餘所適用之稅率,就
    稅前利益予以計算。

  其他
項目 說明

重大會計判斷、假設及估計不確性之主要來源
  重大會計判斷、假設及估計不確性之主要來源

五、重大會計判斷、估計及假設不確定性之主要來源
        本合併財務報告所採用之其他重大會計判斷、估計及假設不確定
    性之主要來源與111年度合併財務報告相同。


應收款項
單位:新臺幣仟元
明細表
項目及金額
項目 金額
本期 去年年底 去年同期
應收票據及帳款
186,145,621 
222,761,927 
215,927,656 
備抵損失
(588,769)
(331,646)
(302,959)
透過其他綜合損益按公允價值衡量
4,607,390 
7,325,606 
5,371,840 
合計
190,164,242 
229,755,887 
220,996,537 
說明
  本公司與金融機構簽訂無追索權之應收帳款出售合約且本公司無須承擔相關交易成本。
本公司管理此類應收帳款之經營模式,係藉由收取合約現金流量及出售金融資產達成目的,
故此類應收帳款係透過其他綜合損益按公允價值衡量。
  本公司對客戶之授信期間原則上為發票日後30天或月結15~30天。除個別客戶實際發生
信用減損提列減損損失外,本公司參考歷史經驗、考量客戶個別財務狀況及所處產業、競爭
優勢與展望,將客戶區分為不同風險群組並依各群組之預期損失率認列備抵損失;另針對逾
期超過90天且無提供其他信用保證之應收帳款認列100%備抵損失。

應收款項之帳齡分析
帳齡區間及金額
帳齡區間 金額
本期 去年年底 去年同期
未 逾 期
173,149,323 
205,053,142 
215,112,852 
逾期30天內
17,591,617 
24,516,277 
6,180,424 
逾期31天以上
12,071 
518,114 
6,220 
備抵損失
(588,769)
(331,646)
(302,959)
合計
190,164,242 
229,755,887 
220,996,537 
說明
本公司透過其他綜合損益按公允價值衡量之應收帳款均未逾期。

                 
應收款項之備抵損失變動資訊
本期 去年同期
金額 金額
 期初餘額
331,646 
347,020 
 追溯適用IFRS 9影響數
0 
0 
 提列減損損失
257,115 
0 
 減損損失迴轉
0 
(44,116)
 因無法收回而沖銷之款項
0 
0 
 折現轉回數
0 
0 
 匯率影響數
8 
55 
 其他
0 
0 
 期末餘額
588,769 
302,959 
說明
112年及111年1月1日至6月30日備抵損失之變動,主要係因不同風險群組之應收帳款帳面金額變動所致。

關係人交易
單位:新臺幣仟元
  母公司及最終控制者之名稱



台灣積體電路製造股份有限公司






關係人名稱及關係
關係人名稱 關係人關係
創意公司
關聯企業
世界先進公司
關聯企業
SSMC
關聯企業
精材公司
關聯企業
財團法人台積電文教基金會
其他關係人

與關係人間之重大交易事項
單位:新臺幣仟元
營業收入
關係人類別與金額
帳列項目 關係人類別/名稱 金額
本期 去年同期 本期累計 去年同期累計
商品銷售收入
關聯企業
3,364,448 
3,686,117 
7,226,439 
5,970,321 
合計
3,364,448 
3,686,117 
7,226,439 
5,970,321 
說明
    本公司與關係人之銷貨交易,其交易價格與收款條件與非關係人並無重大差異;其餘關係
人交易,因無相關同類交易可循,其交易條件係由雙方協商決定。

進貨
關係人類別與金額
關係人類別/名稱 金額
本期 去年同期 本期累計 去年同期累計
關聯企業
1,027,417 
1,620,327 
2,381,385 
3,098,068 
合計
1,027,417 
1,620,327 
2,381,385 
3,098,068 
說明

應收關係人款項
帳列項目及關係人類別與金額
帳列項目 關係人類別/名稱 金額
本期 去年年底 去年同期
應收關係人款項
創意公司
756,054 
1,471,351 
899,746 
應收關係人款項
精材公司
106,518 
112,607 
172,953 
其他應收關係人款項
世界先進公司
2,122,373 
669 
2,117,731 
其他應收關係人款項
精材公司
335,526 
0 
335,526 
其他應收關係人款項
SSMC
63,424 
68,277 
64,802 
其他應收關係人款項
其  他
0 
29 
0 
合計
3,383,895 
1,652,933 
3,590,758 
說明

應付關係人款項
帳列項目及關係人類別與金額
帳列項目 關係人類別/名稱 金額
本期 去年年底 去年同期
應付關係人款項
精材公司
748,143 
1,047,452 
1,159,136 
應付關係人款項
SSMC
290,668 
385,979 
454,451 
應付關係人款項
世界先進公司
105,089 
190,587 
164,527 
應付關係人款項
其  他
34,764 
18,619 
15,000 
合計
1,178,664 
1,642,637 
1,793,114 
說明
預付款項
無此情形/免揭露
取得不動產、廠房及設備
無此情形/免揭露
處分不動產、廠房及設備
無此情形/免揭露
取得投資性不動產
無此情形/免揭露
處分投資性不動產
無此情形/免揭露
取得金融資產
無此情形/免揭露
處分金融資產
無此情形/免揭露
取得其他資產
無此情形/免揭露
處分其他資產
無此情形/免揭露
對關係人放款
無此情形/免揭露
背書保證
無此情形/免揭露

其它






(六)應付費用及其他流動負債
帳列項目         關係人類別        112年6月30日        111年12月31日        111年6月30日
合約負債         關聯企業         $     662,135       $    1,075,659       $     289,699

(七)其他關係人交易
                                    112年4月1日          111年4月1日         112年1月1日        111年1月1日
帳列項目         關係人類別          至6月30日            至6月30日           至6月30日          至6月30日
製造費用         關聯企業         $    976,053       $	  1,589,885	   $  1,917,889      $   2,864,454

 
本公司向關聯企業承租廠房及辦公室,租約內容皆係由租賃雙方協議決定,租金依租約按月支付,相關之租金費用均帳列製造費用。











向關係人借款
無此情形/免揭露

主要管理階層薪酬
本期 去年同期 本期累計 去年同期累計
短期員工福利
868,001 
1,103,526 
1,637,290 
1,984,710 
退職後福利
951 
863 
1,916 
1,675 
其他長期員工福利
0 
0 
0 
0 
離職福利
0 
0 
0 
0 
股份基礎給付
145,512 
88,527 
252,772 
120,121 
合計
1,014,464 
1,192,916 
1,891,978 
2,106,506 
說明
董事及其他主要管理階層之薪酬係由薪酬暨人才發展委員會依照個人績效及市場趨勢決定。

資金貸與他人
單位:新臺幣仟元
資金貸與他人
編號 貸出資金之公司 貸與對象 往來項目 是否為關係人 本期最高餘額 期末餘額 實際動支金額 利率區間 資金貸與性質 業務往來金額 有短期融通資金必要之原因 提列備抵呆帳金額 擔保品 對個別對象資金貸與限額 資金貸與總限額 備註
名稱 價值
0
台積公司
TSMC Arizona
其他應收關係人款項
93,390,000 
93,390,000 
0 
0
有短期融通資金之必要
0 
產能建置及營運資金
0 
0
0 
318,875,045 
637,750,091 
註一
1
台積電中國子公司
台積電南京子公司
其他應收關係人款項
73,522,460 
62,626,960 
48,618,460 
0.75%~1.50%
有長短期融通資金之必要
0 
營運週轉
0 
0
0 
89,796,827 
89,796,827 
註二
母公司資金貸與他人餘額合計
93,390,000 
子公司資金貸與他人餘額合計
62,626,960 
母公司資金貸與他人實際動支金額合計
0 
子公司資金貸與他人實際動支金額合計
48,618,460 
備註
註一:台積公司對TSMC Arizona從事資金貸與,其個別資金貸與之金額不得超過台積公司淨值百分之十,且台積公司資金貸與他人之總額不得超過台積公司淨值百分之二十。
註二:台積電中國子公司對台積電南京子公司從事資金貸與,其資金貸與之總額不得超過台積電中國子公司淨值。
註三:係董事會決議之金額。

為他人背書保證
單位:新臺幣仟元
為他人背書保證
編號 背書保證者公司名稱 被背書保證對象 對單一企業背書保證限額 本期最高背書保證餘額 期末背書保證餘額 實際動支金額 以財產擔保之背書保證金額 累計背書保證金額佔最近期財務報表淨值之比率 背書保證最高限額 屬母公司對子公司背書保證 屬子公司對母公司背書保證 屬對大陸地區背書保證 備註
公司名稱 關係
0
台積公司
TSMC North America
子公司
1,275,500,182 
2,590,430 
2,590,430 
2,590,430 
0 
0.08% 
1,275,500,182 
Y
N
N
註一
0
台積公司
TSMC Global
子公司
1,275,500,182 
233,475,000 
233,475,000 
233,475,000 
0 
7.32% 
1,275,500,182 
Y
N
N
註一
0
台積公司
TSMC Arizona
子公司
1,275,500,182 
374,569,235 
374,569,235 
250,049,235 
0 
11.75% 
1,275,500,182 
Y
N
N
註一
1
TSMC Japan
TSMC JDC
同一母公司
320,716 
284,328 
284,328 
284,328 
0 
0.01% 
320,716 
N
N
N
註二
母公司背書保證餘額合計
610,634,665 
子公司背書保證餘額合計
284,328 
母公司背書保證實際動支金額合計
486,114,665 
子公司背書保證實際動支金額合計
284,328 
備註
註一:台積公司對TSMC North America、TSMC Global及TSMC Arizona背書保證總額度以台積公司淨值百分之四十為限。
註二:TSMC Japan對TSMC JDC背書保證總額度以TSMC Japan淨值百分之兩百五十為限。
註三:係董事會決議之金額。

母子公司間業務關係及重要交易往來情形
單位:新臺幣仟元
母子公司間業務關係及重要交易往來情形
編號 交易人名稱 交易往來對象 與交易人之關係 交易往來情形
科目 金額 交易條件 佔合併總營收或總資產之比率
0
台積公司
TSMC North America
1
商品銷售收入
627,996,804 
-
63.00% 
0
台積公司
TSMC North America
1
應收關係人款項
146,482,184 
-
3.00% 
0
台積公司
TSMC North America
1
其他應收關係人款項
907,634 
-
0.00% 
0
台積公司
TSMC North America
1
應付費用及其他流動負債
103,350,597 
-
2.00% 
0
台積公司
TSMC North America
1
其他非流動負債
143,450,236 
-
3.00% 
0
台積公司
JASM
1
其他非流動資產
9,651,857 
-
0.00% 
0
台積公司
TSMC JDC
1
研發費用
421,274 
-
0.00% 
0
台積公司
TSMC 3DIC
1
研發費用
344,705 
-
0.00% 
0
台積公司
TSMC Europe
1
行銷費用-佣金
345,213 
-
0.00% 
0
台積公司
台積電中國子公司
1
進  貨
13,070,372 
-
1.00% 
0
台積公司
台積電中國子公司
1
應付關係人款項
1,881,799 
-
0.00% 
0
台積公司
台積電南京子公司
1
進  貨
30,132,914 
-
3.00% 
0
台積公司
台積電南京子公司
1
處分不動產、廠房及設備價款
333,948 
-
0.00% 
0
台積公司
台積電南京子公司
1
應付關係人款項
5,254,198 
-
0.00% 
0
台積公司
TSMC Technology
1
研發費用
1,924,003 
-
0.00% 
0
台積公司
WaferTech
1
進  貨
4,602,693 
-
0.00% 
1
台積電中國子公司
台積電南京子公司
3
利息收入
302,161 
-
0.00% 
1
台積電中國子公司
台積電南京子公司
3
其他應收關係人款項
48,962,749 
-
1.00% 
備註
註一:1係代表母公司對子公司之交易。3係代表子公司間之交易。
註二:母子公司間銷貨之交易價格與收款條件與一般銷貨並無重大差異,其餘交易因無相關同類交易可循,其交易條件係由雙方協商決定。

被投資公司名稱、所在地區…等相關資訊
單位:新臺幣仟元;股數:股
被投資公司名稱、所在地區…等相關資訊
投資公司名稱 被投資公司名稱 地區別代號 所在地區 主要營業項目 原始投資金額 期末持股情形 被投資公司本期損益 本期認列之投資損益 備註
本期期末 去年年底 股數 比率 帳面金額
台積公司
TSMC Global
226
英屬維京群島
一般投資業務
355,162,309 
355,162,309 
11 
100.00% 
429,445,267 
10,741,588 
10,741,588 
子公司
台積公司
TSMC Arizona
211
美國
積體電路及其他半導體裝置之製造、銷售與測試
104,919,410 
37,015,800 
3,500 
100.00% 
90,864,932 
(4,415,682)
(4,415,682)
子公司
台積公司
TSMC Partners
226
英屬維京群島
半導體設計、製造等相關投資業務及一般投資業務
31,456,130 
31,456,130 
988,268 
100.00% 
66,739,991 
1,672,055 
1,672,055 
子公司
台積公司
JASM
104
日本
積體電路及其他半導體裝置之製造、銷售、測試與電腦輔助設計
32,237,397 
24,567,085 
1,356 
71.00% 
28,307,901 
(717,094)
(514,577)
子公司
台積公司
世界先進公司
0
台灣
積體電路及其他半導體裝置之製造、銷售、封裝測試與電腦輔助設計及光罩製造與設計服務
10,180,677 
10,180,677 
464,223 
28.00% 
12,362,214 
3,358,945 
949,093 
關聯企業
台積公司
采鈺公司
0
台灣
彩色濾光膜產品相關研究、設計、開發、製造、銷售及封裝測試
4,224,082 
4,224,082 
213,619 
68.00% 
11,210,562 
256,611 
173,583 
子公司
台積公司
SSMC
178
新加坡
積體電路及其他半導體裝置之製造與銷售
5,120,028 
5,120,028 
314 
39.00% 
9,495,090 
1,119,671 
434,320 
關聯企業
台積公司
TSMC North America
211
美國
積體電路及其他半導體裝置之銷售業務
333,718 
333,718 
11,000 
100.00% 
5,904,378 
373,448 
373,448 
子公司
台積公司
精材公司
0
台灣
晶圓級晶片尺寸之封裝及晶圓級後護層封裝業務
1,988,317 
1,988,317 
111,282 
41.00% 
3,369,676 
427,014 
175,105 
關聯企業
台積公司
Emerging Fund
32
開曼群島
新創科技事業之投資
1,360,768 
1,269,425 
0 
99.90% 
1,709,231 
21,806 
21,784 
子公司
台積公司
創意公司
0
台灣
積體電路元件之研究、開發、生產、測試及銷售
386,568 
386,568 
46,688 
35.00% 
1,602,458 
1,772,695 
617,580 
關聯企業
台積公司
TSMC 3DIC
104
日本
工程支援業務
1,144,356 
1,144,356 
49 
100.00% 
1,136,522 
55,448 
55,448 
子公司
台積公司
TSMC Europe
145
荷蘭
客戶服務及支援業務
15,749 
15,749 
0 
100.00% 
562,526 
17,019 
17,019 
子公司
台積公司
TSMC JDC
104
日本
工程支援業務
410,680 
410,680 
15 
100.00% 
363,952 
17,264 
17,264 
子公司
台積公司
VTAF III
32
開曼群島
新創科技事業之投資
1,242,679 
1,239,621 
0 
98.00% 
268,329 
(4,839)
(4,743)
子公司
台積公司
TSMC Japan
104
日本
客戶服務及支援業務
83,760 
83,760 
6 
100.00% 
128,286 
4,193 
4,193 
子公司
台積公司
VTAF II
32
開曼群島
新創科技事業之投資
260,300 
260,300 
0 
98.00% 
86,774 
1,198 
1,174 
子公司
台積公司
TSMC Korea
109
南韓
客戶服務及支援業務
13,656 
13,656 
80 
100.00% 
43,333 
881 
881 
子公司
台積公司
ESMC
78
德國
積體電路及其他半導體裝置之製造、銷售與測試
3,359 
0 
0 
100.00% 
3,392 
0 
0 
子公司
TSMC Partners
TSMC Development
211
美國
半導體製造相關投資業務
18,271,405 
18,271,405 
0 
100.00% 
38,044,547 
919,520 
0 
子公司(註二)
TSMC Partners
TSMC Technology
211
美國
工程支援業務
444,599 
444,599 
0 
100.00% 
1,132,037 
122,531 
0 
子公司(註二)
TSMC Partners
TSMC Canada
29
加拿大
工程支援業務
71,599 
71,599 
2,300 
100.00% 
355,213 
21,705 
0 
子公司(註二)
VTAF III
Growth Fund
32
開曼群島
新創科技事業之投資
71,458 
68,345 
0 
100.00% 
192,362 
(511)
0 
子公司(註二)
VTAF III
相豐公司
0
台灣
電子零組件製造、電子材料批發及零售與無線射頻識別系統之研發及測試
49,601 
49,601 
4,693 
28.00% 
15,958 
(10,918)
0 
關聯企業(註二)
TSMC Development
WaferTech
211
美國
積體電路及其他半導體裝置之製造、銷售與測試
0 
0 
293,637 
100.00% 
6,808,403 
462,628 
0 
子公司(註二)
備註
註一:本期認列之投資(損)益業已考量公司間交易之未實現損益之影響數。
註二:該被投資公司之損益業已包含於其投資公司,為避免混淆,於此不再另行表達。

大陸地區投資
單位:新臺幣仟元
轉投資大陸地區之事業相關資訊
大陸被投資公司名稱 主要營業項目 實收資本額 投資方式 本期期初自台灣匯出累積投資金額 本期匯出或收回投資金額 本期期末自台灣匯出累積投資金額 被投資公司本期損益 本公司直接或間接投資之持股比例 本期認列投資損益 期末投資帳面價值 截至本期止已匯回台灣之投資收益 備註
匯出 收回
台積電中國子公司
積體電路及其他半導體裝置之製造、銷售、測試與電腦輔助設計
18,939,667 
1
18,939,667 
0 
0 
18,939,667 
5,116,826 
100.00% 
5,167,180 
89,402,781 
0 
註一及註二
台積電南京子公司
積體電路及其他半導體裝置之製造、銷售、測試與電腦輔助設計
30,521,412 
1
30,521,412 
0 
0 
30,521,412 
10,224,257 
100.00% 
10,237,870 
75,288,132 
0 
註一及註二
備註
註一:係直接投資台積電中國子公司USD596,000仟元及台積電南京子公司USD1,000,000仟元。
註二:係依經與我國會計師事務所有合作關係之國際性事務所核閱後之財務報表認列。

轉投資大陸地區限額
公司名稱 本期期末累計自台灣匯出赴大陸地區投資金額 經濟部投審會核准投資金額 依經濟部投審會規定赴大陸地區投資限額
台積公司(註三)
49,461,079 
119,412,667 
1,923,280,919 
備註
註三:本公司對大陸投資累計金額上限係以合併股權淨值之60%計算。

營業外收入及支出
單位:新臺幣仟元
  利息收入
代號 會計項目 2023年4月1日至6月30日 2022年4月1日至6月30日 2023年1月1日至6月30日 2022年1月1日至6月30日
N7101    銀行存款利息
11,496,148 
2,673,691 
23,109,878 
3,665,684 
N7102    按攤銷後成本衡量之金融資產利息收入
1,239,859 
270,133 
2,412,253 
411,529 
N7106    透過其他綜合損益按公允價值衡量之金融資產利息收入
936,014 
602,121 
1,767,708 
1,142,611 
N7100    利息收入合計
13,672,021 
3,545,945 
27,289,839 
5,219,824 

  其他收入
代號 會計項目 2023年4月1日至6月30日 2022年4月1日至6月30日 2023年1月1日至6月30日 2022年1月1日至6月30日
N7190    其他收入-其他
237,652 
512,177 
325,562 
820,560 
N7010    其他收入合計
237,652 
512,177 
325,562 
820,560 


  其他利益及損失
代號 會計項目 2023年4月1日至6月30日 2022年4月1日至6月30日 2023年1月1日至6月30日 2022年1月1日至6月30日
N7225    處分投資利益(損失)
(121,860)
(104,373)
(257,553)
(245,151)
N7230    外幣兌換利益(損失)
(1,002,814)
7,864,798 
(1,047,177)
9,607,686 
N7235    透過損益按公允價值衡量之金融資產(負債)利益(損失)
1,663,170 
(7,049,073)
2,833,908 
(7,421,976)
   減損迴轉利益(損失)
N7271     金融資產減損迴轉利益(損失)
(14,150)
(11,110)
(20,314)
(22,878)
N7270     減損迴轉利益(損失)合計
(14,150)
(11,110)
(20,314)
(22,878)
N7600    其他利益及損失
153,815 
(237,606)
425,212 
19,547 
N7020    其他利益及損失淨額
678,161 
462,636 
1,934,076 
1,937,228 


  財務成本
代號 會計項目 2023年4月1日至6月30日 2022年4月1日至6月30日 2023年1月1日至6月30日 2022年1月1日至6月30日
N7510    利息費用
3,005,155 
2,904,231 
5,968,841 
5,044,997 
N7050    財務成本淨額
3,005,155 
2,904,231 
5,968,841 
5,044,997