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TSM Taiwan Semiconductor

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  • 202.330
  • -0.070-0.03%
Close Jan 29 16:00 ET
  • 204.000
  • +1.670+0.83%
Post 19:59 ET
1.05TMarket Cap31.48P/E (TTM)

Taiwan Semiconductor Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
41.24%2.42T
41.24%2.42T
19.56%1.89T
37.61%2.08T
21.13%1.96T
8.09%1.71T
8.09%1.71T
3.89%1.58T
4.44%1.51T
24.44%1.61T
-Cash and cash equivalents
45.19%2.13T
45.19%2.13T
43.83%1.89T
40.92%1.8T
22.59%1.7T
9.13%1.47T
9.13%1.47T
1.22%1.31T
1.88%1.28T
20.29%1.39T
-Short-term investments
18.05%294.39B
18.05%294.39B
----
19.84%285.13B
12.25%257.17B
2.33%249.38B
2.33%249.38B
19.44%266.27B
20.74%237.93B
57.28%229.1B
Receivables
34.69%272.09B
34.69%272.09B
----
9.85%212.61B
36.41%202.06B
-12.70%202.01B
-12.70%202.01B
-14.80%222.91B
-13.82%193.55B
-30.62%148.12B
-Accounts receivable
--272.09B
--272.09B
----
----
----
----
----
--4.53B
----
----
-Notes receivable
----
----
----
9.97%209.12B
36.41%201.5B
-12.38%201.31B
-12.38%201.31B
-16.03%218.69B
-13.95%190.16B
--147.72B
-Related party accounts receivable
----
----
8.95%477.86M
3.22%3.49B
36.54%558.67M
-57.88%696.3M
-57.88%696.3M
-62.42%438.62M
-5.76%3.38B
-35.99%409.16M
-Recievables adjustments allowances
----
----
34.07%-496.03M
----
----
----
----
---752.38M
----
----
Inventory
14.69%287.87B
14.69%287.87B
11.75%292.88B
16.28%272.49B
23.63%267.12B
13.50%251B
13.50%251B
20.04%262.09B
7.77%234.33B
7.97%216.07B
Other current assets
305.67%106.38B
305.67%106.38B
12,802.81%2.48T
35.71%22.29B
72.55%28.2B
103.45%26.22B
103.45%26.22B
82.15%19.22B
23.13%16.43B
58.17%16.34B
Total current assets
40.76%3.09T
40.76%3.09T
33.20%2.77T
32.23%2.59T
22.90%2.45T
6.87%2.19T
6.87%2.19T
3.39%2.08T
2.84%1.96T
15.88%2T
Non current assets
Net PPE
11.26%3.45T
11.26%3.45T
----
5.24%3.15T
7.53%3.09T
13.49%3.1T
13.49%3.1T
29.34%3.17T
30.94%2.99T
34.54%2.88T
-Gross PPE
-52.41%3.45T
-52.41%3.45T
----
10.65%7.61T
11.22%7.39T
13.34%7.26T
13.34%7.26T
19.36%7.2T
19.38%6.87T
20.75%6.65T
-Accumulated depreciation
----
----
----
-14.82%-4.46T
-14.03%-4.3T
-13.23%-4.15T
-13.23%-4.15T
-12.51%-4.02T
-11.79%-3.89T
-12.01%-3.77T
Goodwill and other intangible assets
----
----
-5.67%22.08B
-5.95%22.43B
-8.47%22.24B
-12.43%22.77B
-12.43%22.77B
-12.34%23.41B
-12.35%23.85B
-5.16%24.3B
-Goodwill
----
----
-1.45%5.92B
3.16%6.03B
3.72%5.97B
0.08%5.8B
0.08%5.8B
1.18%6B
3.38%5.85B
4.50%5.75B
-Other intangible assets
----
----
-7.13%16.17B
-8.91%16.4B
-12.25%16.27B
-16.02%16.97B
-16.02%16.97B
-16.20%17.41B
-16.47%18B
-7.81%18.54B
Investments and advances
15.30%149.04B
15.30%149.04B
----
48.21%140.22B
98.06%138.47B
88.41%129.27B
88.41%129.27B
53.50%116.35B
46.82%94.61B
52.86%69.91B
Related parties assets
----
----
8.95%477.86M
3.22%3.49B
36.54%558.67M
-57.88%696.3M
-57.88%696.3M
-62.42%438.62M
-5.76%3.38B
-35.99%409.16M
Non current deferred assets
----
----
-7.16%65.94B
-4.71%65.16B
-7.34%63.73B
-7.24%64.18B
-7.24%64.18B
12.64%71.03B
18.21%68.38B
27.59%68.78B
Non current prepaid assets
----
----
----
-23.06%4.47B
45.18%6.12B
57.70%7.04B
57.70%7.04B
88.45%8.39B
40.93%5.81B
3.56%4.22B
Other non current assets
----
----
36,675.51%3.3T
62.75%13.05B
67.77%12.58B
32.56%10.01B
32.56%10.01B
72.18%8.98B
108.86%8.02B
94.60%7.5B
Total non current assets
7.95%3.6T
7.95%3.6T
-0.30%3.39T
6.31%3.39T
9.34%3.34T
14.65%3.34T
14.65%3.34T
29.40%3.4T
30.71%3.19T
34.34%3.05T
Total assets
20.96%6.69T
20.96%6.69T
12.42%6.17T
16.17%5.98T
14.71%5.79T
11.44%5.53T
11.44%5.53T
18.12%5.48T
18.49%5.15T
26.38%5.05T
Liabilities
Current liabilities
Payables
-12.78%487.28B
-12.78%487.28B
----
23.33%535.01B
0.32%530.82B
-8.75%558.67B
-8.75%558.67B
21.20%571.82B
-3.79%433.8B
24.67%529.11B
-accounts payable
17.45%266.86B
17.45%266.86B
-31.35%194.27B
5.81%199.51B
-9.86%183.6B
-15.34%227.21B
-15.34%227.21B
28.68%283B
-13.71%188.55B
18.71%203.68B
-Total tax payable
----
----
----
57.44%110.3B
-11.44%139.22B
-21.46%128.13B
-21.46%128.13B
35.46%102.95B
12.88%70.06B
79.28%157.22B
-Dividends payable
30.77%220.42B
30.77%220.42B
33.33%207.46B
30.33%194.6B
27.28%181.52B
18.19%168.56B
18.19%168.56B
9.10%155.59B
4.55%149.31B
0.00%142.62B
-Due to related parties current
----
----
3.97%1.69B
0.45%1.18B
9.76%1.19B
-4.65%1.57B
-4.65%1.57B
-13.33%1.62B
-34.27%1.18B
-25.58%1.08B
-Other payable
----
----
----
19.06%29.41B
3.11%25.28B
-8.88%33.2B
-8.88%33.2B
-8.68%28.66B
-3.93%24.7B
16.33%24.52B
Current accrued expenses
141.81%717.39B
141.81%717.39B
0.00%326.07B
48.78%411.12B
59.95%417.66B
1.19%296.67B
1.19%296.67B
22.33%326.07B
39.69%276.33B
40.28%261.12B
Current debt and capital lease obligation
544.10%59.86B
544.10%59.86B
----
183.99%23.08B
55.47%12.5B
-51.88%9.29B
-51.88%9.29B
-68.33%7.42B
-92.97%8.13B
-94.44%8.04B
-Current debt
544.10%59.86B
544.10%59.86B
----
183.99%23.08B
55.47%12.5B
-51.88%9.29B
-51.88%9.29B
-68.33%7.42B
-92.97%8.13B
-94.44%8.04B
Other current liabilities
----
----
----
-93.10%512.73M
44.21%951.92M
23,366.32%27.46B
23,366.32%27.46B
4,320.93%27.01B
-58.19%7.43B
-96.52%660.08M
Current liabilities
34.12%1.26T
34.12%1.26T
11.38%1.08T
29.36%1.05T
17.53%1.03T
-4.44%942.81B
-4.44%942.81B
20.14%970.03B
-4.07%810.83B
6.10%873.09B
Non current liabilities
Long term debt and capital lease obligation
-2.15%926.6B
-2.15%926.6B
-97.08%28.21B
6.99%1T
12.35%994.03B
8.99%946.96B
8.99%946.96B
10.42%966.91B
20.18%937.06B
35.33%884.77B
-Long term debt
0.91%926.6B
0.91%926.6B
----
7.39%974.34B
12.96%965.56B
9.44%918.28B
9.44%918.28B
10.89%937.49B
19.82%907.32B
35.09%854.79B
-Long term capital lease obligation
----
----
-4.10%28.21B
-5.09%28.22B
-5.06%28.47B
-3.64%28.68B
-3.64%28.68B
-2.54%29.42B
32.09%29.73B
42.34%29.98B
Non current deferred liabilities
----
----
----
-84.68%57.24M
-94.10%42.86M
-94.78%53.8M
-94.78%53.8M
-85.51%212.55M
-60.29%373.56M
-61.78%726.01M
Employee benefits
----
----
----
-10.49%7.7B
-10.48%7.7B
-0.69%9.26B
-0.69%9.26B
1.32%8.62B
1.07%8.6B
0.81%8.6B
Other non current liabilities
-1.12%177.23B
-1.12%177.23B
540.69%1.06T
-44.97%102.98B
-49.28%94.22B
-0.89%179.25B
-0.89%179.25B
-16.16%165.97B
-6.93%187.13B
0.90%185.76B
Total non current liabilities
-2.79%1.1T
-2.79%1.1T
-6.86%1.06T
-1.75%1.11T
1.49%1.1T
7.12%1.14T
7.12%1.14T
5.37%1.14T
14.43%1.13T
27.29%1.08T
Total liabilities
13.96%2.37T
13.96%2.37T
1.52%2.14T
11.23%2.16T
8.67%2.12T
1.55%2.08T
1.55%2.08T
11.67%2.11T
5.91%1.94T
16.86%1.95T
Shareholders'equity
Share capital
0.00%259.33B
0.00%259.33B
----
0.01%259.34B
0.01%259.34B
0.01%259.32B
0.01%259.32B
0.01%259.32B
0.01%259.32B
0.00%259.32B
-common stock
0.00%259.33B
0.00%259.33B
----
0.01%259.34B
0.01%259.34B
0.01%259.32B
0.01%259.32B
0.01%259.32B
0.01%259.32B
0.00%259.32B
Retained earnings
15.26%3.61T
15.26%3.61T
24.76%3.35T
23.01%3.13T
18.80%3.29T
20.57%3.13T
20.57%3.13T
29.79%2.68T
37.82%2.54T
36.06%2.77T
Paid-in capital
4.84%73.26B
4.84%73.26B
3.59%72.39B
1.50%70.94B
1.50%70.94B
0.79%69.88B
0.79%69.88B
0.81%69.88B
0.81%69.9B
7.18%69.89B
Less: Treasury stock
----
----
----
--3.09B
----
--0
--0
--0
----
--0
Gains losses not affecting retained earnings
--311.15B
--311.15B
----
-7.05%311.15B
----
----
----
-5.15%328.38B
-6.55%334.74B
----
Other equity interest
236.70%38.71B
236.70%38.71B
7,371.19%643.79B
243.68%25.54B
144.88%10.89B
-38.08%-28.31B
-38.08%-28.31B
351.99%8.62B
49.80%-17.78B
48.90%-24.27B
Total stockholders'equity
25.05%4.29T
25.05%4.29T
19.16%3.99T
18.90%3.79T
18.11%3.64T
18.14%3.43T
18.14%3.43T
22.29%3.35T
27.74%3.19T
33.00%3.08T
Noncontrolling interests
43.90%35.03B
43.90%35.03B
30.38%31.9B
71.95%28.75B
104.48%29.98B
64.35%24.34B
64.35%24.34B
70.61%24.47B
18.49%16.72B
108.33%14.66B
Total equity
25.18%4.32T
25.18%4.32T
19.25%4.02T
19.18%3.82T
18.52%3.67T
18.37%3.45T
18.37%3.45T
22.54%3.37T
27.68%3.21T
33.23%3.09T
Currency Unit
TWD
TWD
TWD
TWD
TWD
TWD
TWD
TWD
TWD
TWD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Current assets
Cash, cash equivalents and short term investments 41.24%2.42T41.24%2.42T19.56%1.89T37.61%2.08T21.13%1.96T8.09%1.71T8.09%1.71T3.89%1.58T4.44%1.51T24.44%1.61T
-Cash and cash equivalents 45.19%2.13T45.19%2.13T43.83%1.89T40.92%1.8T22.59%1.7T9.13%1.47T9.13%1.47T1.22%1.31T1.88%1.28T20.29%1.39T
-Short-term investments 18.05%294.39B18.05%294.39B----19.84%285.13B12.25%257.17B2.33%249.38B2.33%249.38B19.44%266.27B20.74%237.93B57.28%229.1B
Receivables 34.69%272.09B34.69%272.09B----9.85%212.61B36.41%202.06B-12.70%202.01B-12.70%202.01B-14.80%222.91B-13.82%193.55B-30.62%148.12B
-Accounts receivable --272.09B--272.09B----------------------4.53B--------
-Notes receivable ------------9.97%209.12B36.41%201.5B-12.38%201.31B-12.38%201.31B-16.03%218.69B-13.95%190.16B--147.72B
-Related party accounts receivable --------8.95%477.86M3.22%3.49B36.54%558.67M-57.88%696.3M-57.88%696.3M-62.42%438.62M-5.76%3.38B-35.99%409.16M
-Recievables adjustments allowances --------34.07%-496.03M-------------------752.38M--------
Inventory 14.69%287.87B14.69%287.87B11.75%292.88B16.28%272.49B23.63%267.12B13.50%251B13.50%251B20.04%262.09B7.77%234.33B7.97%216.07B
Other current assets 305.67%106.38B305.67%106.38B12,802.81%2.48T35.71%22.29B72.55%28.2B103.45%26.22B103.45%26.22B82.15%19.22B23.13%16.43B58.17%16.34B
Total current assets 40.76%3.09T40.76%3.09T33.20%2.77T32.23%2.59T22.90%2.45T6.87%2.19T6.87%2.19T3.39%2.08T2.84%1.96T15.88%2T
Non current assets
Net PPE 11.26%3.45T11.26%3.45T----5.24%3.15T7.53%3.09T13.49%3.1T13.49%3.1T29.34%3.17T30.94%2.99T34.54%2.88T
-Gross PPE -52.41%3.45T-52.41%3.45T----10.65%7.61T11.22%7.39T13.34%7.26T13.34%7.26T19.36%7.2T19.38%6.87T20.75%6.65T
-Accumulated depreciation -------------14.82%-4.46T-14.03%-4.3T-13.23%-4.15T-13.23%-4.15T-12.51%-4.02T-11.79%-3.89T-12.01%-3.77T
Goodwill and other intangible assets ---------5.67%22.08B-5.95%22.43B-8.47%22.24B-12.43%22.77B-12.43%22.77B-12.34%23.41B-12.35%23.85B-5.16%24.3B
-Goodwill ---------1.45%5.92B3.16%6.03B3.72%5.97B0.08%5.8B0.08%5.8B1.18%6B3.38%5.85B4.50%5.75B
-Other intangible assets ---------7.13%16.17B-8.91%16.4B-12.25%16.27B-16.02%16.97B-16.02%16.97B-16.20%17.41B-16.47%18B-7.81%18.54B
Investments and advances 15.30%149.04B15.30%149.04B----48.21%140.22B98.06%138.47B88.41%129.27B88.41%129.27B53.50%116.35B46.82%94.61B52.86%69.91B
Related parties assets --------8.95%477.86M3.22%3.49B36.54%558.67M-57.88%696.3M-57.88%696.3M-62.42%438.62M-5.76%3.38B-35.99%409.16M
Non current deferred assets ---------7.16%65.94B-4.71%65.16B-7.34%63.73B-7.24%64.18B-7.24%64.18B12.64%71.03B18.21%68.38B27.59%68.78B
Non current prepaid assets -------------23.06%4.47B45.18%6.12B57.70%7.04B57.70%7.04B88.45%8.39B40.93%5.81B3.56%4.22B
Other non current assets --------36,675.51%3.3T62.75%13.05B67.77%12.58B32.56%10.01B32.56%10.01B72.18%8.98B108.86%8.02B94.60%7.5B
Total non current assets 7.95%3.6T7.95%3.6T-0.30%3.39T6.31%3.39T9.34%3.34T14.65%3.34T14.65%3.34T29.40%3.4T30.71%3.19T34.34%3.05T
Total assets 20.96%6.69T20.96%6.69T12.42%6.17T16.17%5.98T14.71%5.79T11.44%5.53T11.44%5.53T18.12%5.48T18.49%5.15T26.38%5.05T
Liabilities
Current liabilities
Payables -12.78%487.28B-12.78%487.28B----23.33%535.01B0.32%530.82B-8.75%558.67B-8.75%558.67B21.20%571.82B-3.79%433.8B24.67%529.11B
-accounts payable 17.45%266.86B17.45%266.86B-31.35%194.27B5.81%199.51B-9.86%183.6B-15.34%227.21B-15.34%227.21B28.68%283B-13.71%188.55B18.71%203.68B
-Total tax payable ------------57.44%110.3B-11.44%139.22B-21.46%128.13B-21.46%128.13B35.46%102.95B12.88%70.06B79.28%157.22B
-Dividends payable 30.77%220.42B30.77%220.42B33.33%207.46B30.33%194.6B27.28%181.52B18.19%168.56B18.19%168.56B9.10%155.59B4.55%149.31B0.00%142.62B
-Due to related parties current --------3.97%1.69B0.45%1.18B9.76%1.19B-4.65%1.57B-4.65%1.57B-13.33%1.62B-34.27%1.18B-25.58%1.08B
-Other payable ------------19.06%29.41B3.11%25.28B-8.88%33.2B-8.88%33.2B-8.68%28.66B-3.93%24.7B16.33%24.52B
Current accrued expenses 141.81%717.39B141.81%717.39B0.00%326.07B48.78%411.12B59.95%417.66B1.19%296.67B1.19%296.67B22.33%326.07B39.69%276.33B40.28%261.12B
Current debt and capital lease obligation 544.10%59.86B544.10%59.86B----183.99%23.08B55.47%12.5B-51.88%9.29B-51.88%9.29B-68.33%7.42B-92.97%8.13B-94.44%8.04B
-Current debt 544.10%59.86B544.10%59.86B----183.99%23.08B55.47%12.5B-51.88%9.29B-51.88%9.29B-68.33%7.42B-92.97%8.13B-94.44%8.04B
Other current liabilities -------------93.10%512.73M44.21%951.92M23,366.32%27.46B23,366.32%27.46B4,320.93%27.01B-58.19%7.43B-96.52%660.08M
Current liabilities 34.12%1.26T34.12%1.26T11.38%1.08T29.36%1.05T17.53%1.03T-4.44%942.81B-4.44%942.81B20.14%970.03B-4.07%810.83B6.10%873.09B
Non current liabilities
Long term debt and capital lease obligation -2.15%926.6B-2.15%926.6B-97.08%28.21B6.99%1T12.35%994.03B8.99%946.96B8.99%946.96B10.42%966.91B20.18%937.06B35.33%884.77B
-Long term debt 0.91%926.6B0.91%926.6B----7.39%974.34B12.96%965.56B9.44%918.28B9.44%918.28B10.89%937.49B19.82%907.32B35.09%854.79B
-Long term capital lease obligation ---------4.10%28.21B-5.09%28.22B-5.06%28.47B-3.64%28.68B-3.64%28.68B-2.54%29.42B32.09%29.73B42.34%29.98B
Non current deferred liabilities -------------84.68%57.24M-94.10%42.86M-94.78%53.8M-94.78%53.8M-85.51%212.55M-60.29%373.56M-61.78%726.01M
Employee benefits -------------10.49%7.7B-10.48%7.7B-0.69%9.26B-0.69%9.26B1.32%8.62B1.07%8.6B0.81%8.6B
Other non current liabilities -1.12%177.23B-1.12%177.23B540.69%1.06T-44.97%102.98B-49.28%94.22B-0.89%179.25B-0.89%179.25B-16.16%165.97B-6.93%187.13B0.90%185.76B
Total non current liabilities -2.79%1.1T-2.79%1.1T-6.86%1.06T-1.75%1.11T1.49%1.1T7.12%1.14T7.12%1.14T5.37%1.14T14.43%1.13T27.29%1.08T
Total liabilities 13.96%2.37T13.96%2.37T1.52%2.14T11.23%2.16T8.67%2.12T1.55%2.08T1.55%2.08T11.67%2.11T5.91%1.94T16.86%1.95T
Shareholders'equity
Share capital 0.00%259.33B0.00%259.33B----0.01%259.34B0.01%259.34B0.01%259.32B0.01%259.32B0.01%259.32B0.01%259.32B0.00%259.32B
-common stock 0.00%259.33B0.00%259.33B----0.01%259.34B0.01%259.34B0.01%259.32B0.01%259.32B0.01%259.32B0.01%259.32B0.00%259.32B
Retained earnings 15.26%3.61T15.26%3.61T24.76%3.35T23.01%3.13T18.80%3.29T20.57%3.13T20.57%3.13T29.79%2.68T37.82%2.54T36.06%2.77T
Paid-in capital 4.84%73.26B4.84%73.26B3.59%72.39B1.50%70.94B1.50%70.94B0.79%69.88B0.79%69.88B0.81%69.88B0.81%69.9B7.18%69.89B
Less: Treasury stock --------------3.09B------0--0--0------0
Gains losses not affecting retained earnings --311.15B--311.15B-----7.05%311.15B-------------5.15%328.38B-6.55%334.74B----
Other equity interest 236.70%38.71B236.70%38.71B7,371.19%643.79B243.68%25.54B144.88%10.89B-38.08%-28.31B-38.08%-28.31B351.99%8.62B49.80%-17.78B48.90%-24.27B
Total stockholders'equity 25.05%4.29T25.05%4.29T19.16%3.99T18.90%3.79T18.11%3.64T18.14%3.43T18.14%3.43T22.29%3.35T27.74%3.19T33.00%3.08T
Noncontrolling interests 43.90%35.03B43.90%35.03B30.38%31.9B71.95%28.75B104.48%29.98B64.35%24.34B64.35%24.34B70.61%24.47B18.49%16.72B108.33%14.66B
Total equity 25.18%4.32T25.18%4.32T19.25%4.02T19.18%3.82T18.52%3.67T18.37%3.45T18.37%3.45T22.54%3.37T27.68%3.21T33.23%3.09T
Currency Unit TWDTWDTWDTWDTWDTWDTWDTWDTWDTWD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
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Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.