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TSM Taiwan Semiconductor

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  • 169.765
  • -1.515-0.88%
Trading Aug 26 12:46 ET
880.40BMarket Cap29.93P/E (TTM)

Taiwan Semiconductor Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
125.81%377.67B
13.26%436.31B
-22.89%1.24T
-18.91%394.83B
-28.61%294.65B
-50.64%167.25B
3.51%385.24B
44.82%1.61T
28.74%486.88B
29.49%412.7B
Net income from continuing operations
42.69%306.31B
9.12%266.54B
-14.40%979.32B
-16.78%278.43B
-23.60%241.94B
-19.29%214.67B
7.69%244.27B
72.55%1.14T
81.10%334.55B
82.16%316.69B
Operating gains losses
-11.99%687.86M
227.66%2.78B
-273.19%-4.7B
-48.14%-5.83B
-71.29%2.53B
128.98%781.6M
-505.10%-2.18B
112.44%2.71B
37.91%-3.93B
281.83%8.81B
Depreciation and amortization
33.26%165.17B
44.14%159.02B
21.71%532.19B
40.03%150.65B
39.81%147.28B
9.46%123.94B
-0.70%110.32B
3.52%437.25B
-2.78%107.58B
-1.57%105.35B
Other non cash items
-70.43%-18.34B
-58.93%-16.8B
-361.70%-48.63B
-113.28%-14.55B
-289.18%-12.75B
-1,571.26%-10.76B
-5,167.22%-10.57B
-1,386.09%-10.53B
-1,173.40%-6.82B
-6,380.55%-3.28B
Change In working capital
125.50%10.56B
-41.77%25.62B
-146.41%-56.85B
-57.51%23.58B
-827.54%-83.02B
-285.64%-41.4B
32.12%44B
-7.52%122.51B
-37.41%55.49B
-84.17%11.41B
-Change in receivables
80.83%-8.24B
-100.06%-48.82M
188.96%29.4B
-30.82%20.9B
19.44%-31.78B
-395.49%-43B
650.71%83.28B
36.78%-33.05B
371.59%30.21B
-343.53%-39.45B
-Change in inventory
70.61%-5.37B
-417.37%-16.13B
-6.42%-29.85B
494.31%11.09B
-2,991.74%-27.76B
-5.46%-18.26B
172.42%5.08B
49.69%-28.05B
74.12%-2.81B
92.39%-897.78M
-Change in payables and accrued expense
57.26%19.05B
177.13%39.11B
-162.84%-57.96B
-54.71%10.99B
-213.26%-30.36B
-50.89%12.11B
-407.20%-50.7B
-4.44%92.24B
-51.62%24.26B
259.91%26.8B
-Change in other current assets
-320.50%-378.29M
-47.17%-3.11B
-48.05%-11.08B
-346.17%-6.35B
18.27%-2.79B
102.24%171.56M
-308.05%-2.11B
21.09%-7.49B
169.35%2.58B
24.54%-3.41B
-Change in other current liabilities
-27.44%5.5B
-19.80%7.35B
-86.85%13.33B
-1,164.92%-13.45B
-64.66%10.03B
-75.81%7.58B
-77.32%9.17B
-34.20%101.39B
-98.03%1.26B
-68.42%28.38B
-Change in other working capital
-39.19%1.42M
-116.52%-1.56B
72.93%-687.2M
7,758.56%396.94M
-3,577.68%-367.69M
111.68%2.34M
71.29%-718.79M
-299.69%-2.54B
-292.18%-5.18M
-7.01%-10M
Cash from discontinued investing activities
Operating cash flow
125.81%377.67B
13.26%436.31B
-22.89%1.24T
-18.91%394.83B
-28.61%294.65B
-50.64%167.25B
3.51%385.24B
44.82%1.61T
28.74%486.88B
29.49%412.7B
Investing cash flow
Cash flow from continuing investing activities
23.80%-197.61B
41.30%-159.81B
23.91%-906.12B
61.37%-132.32B
14.82%-242.24B
6.02%-259.33B
5.50%-272.23B
-42.39%-1.19T
-39.61%-342.53B
-60.65%-284.39B
Net PPE purchase and sale
17.91%-205.53B
40.16%-180.98B
12.25%-949.18B
49.55%-169.86B
14.80%-226.49B
-15.03%-250.38B
-15.65%-302.45B
-28.77%-1.08T
-43.03%-336.66B
-41.00%-265.84B
Net intangibles purchase and sale
-53.56%-2.97B
-616.50%-2.04B
20.55%-5.52B
-44.84%-2.13B
30.01%-1.17B
39.97%-1.93B
51.11%-285.02M
23.22%-6.94B
56.27%-1.47B
-7.19%-1.67B
Net investment purchase and sale
36.38%-18.6B
-72.59%4.43B
56.70%-55.78B
83.89%-3.14B
-61.32%-39.58B
50.11%-29.24B
161.75%16.18B
-2,855.12%-128.84B
-137.50%-19.49B
-369.96%-24.53B
Net other investing changes
34.73%9.5B
-35.16%1.28B
726.21%44.94B
332.74%27.88B
14,772.28%8.03B
2,889.55%7.05B
252.84%1.98B
1,219.97%5.44B
7,951.48%6.44B
-91.26%54.03M
Cash from discontinued investing activities
Investing cash flow
23.80%-197.61B
41.30%-159.81B
23.91%-906.12B
61.37%-132.32B
14.82%-242.24B
6.02%-259.33B
5.50%-272.23B
-42.39%-1.19T
-39.61%-342.53B
-60.65%-284.39B
Financing cash flow
Cash flow from continuing financing activities
-239.41%-90.24B
-11.16%-71.69B
-2.32%-204.89B
-7.93%-75.37B
70.51%-38.45B
-239.35%-26.59B
-237.87%-64.49B
-246.58%-200.24B
-184.87%-69.83B
-269.17%-130.41B
Net issuance payments of debt
-78.28%10.26B
-84.00%1.39B
13.83%93.35B
19.92%8.57B
150.60%28.85B
-42.59%47.23B
-82.44%8.71B
-79.35%82.01B
-95.39%7.14B
-283.53%-57B
Net common stock issuance
----
----
--0
--0
--0
----
----
---871.6M
---34K
--0
Cash dividends paid
-27.28%-90.76B
-9.10%-77.8B
-2.27%-291.72B
-9.10%-77.8B
0.00%-71.31B
0.00%-71.31B
0.00%-71.31B
-7.32%-285.23B
-0.00%-71.31B
-10.00%-71.31B
Net other financing activities
-100.38%-11.57M
34,871.12%6.5B
-32.56%10.84B
-358.42%-141.43M
3,229.96%7.95B
-73.93%3.04B
-100.41%-18.68M
77.73%16.07B
116.20%54.73M
-378.33%-254.15M
Cash from discontinued financing activities
Financing cash flow
-239.41%-90.24B
-11.16%-71.69B
-2.32%-204.89B
-7.93%-75.37B
70.51%-38.45B
-239.35%-26.59B
-237.87%-64.49B
-246.58%-200.24B
-184.87%-69.83B
-269.17%-130.41B
Net cash flow
Beginning cash position
22.59%1.7T
9.13%1.47T
26.09%1.34T
1.22%1.31T
1.88%1.28T
20.29%1.39T
26.09%1.34T
61.32%1.06T
51.79%1.3T
67.54%1.25T
Current changes in cash
175.69%89.82B
322.08%204.82B
-40.32%130.95B
151.14%187.14B
764.67%13.95B
-244.72%-118.67B
-25.36%48.53B
-46.79%219.43B
-65.36%74.52B
-101.97%-2.1B
Effect of exchange rate changes
9.42%11.12B
557.65%27.95B
-114.28%-8.34B
-20.94%-33.52B
-52.96%21.13B
-48.18%10.16B
-128.29%-6.11B
870.02%58.4B
-599.60%-27.72B
8,552.90%44.92B
End cash Position
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
26.09%1.34T
26.09%1.34T
51.79%1.3T
Free cash flow
298.23%168.96B
206.83%252.95B
-44.99%286.57B
49.79%222.53B
-53.92%66.84B
-172.29%-85.23B
-24.68%82.44B
98.30%520.97B
6.66%148.55B
12.88%145.06B
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
Audit Opinions
--
--
--
--
--
--
--
Unqualified Opinion
--
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 125.81%377.67B13.26%436.31B-22.89%1.24T-18.91%394.83B-28.61%294.65B-50.64%167.25B3.51%385.24B44.82%1.61T28.74%486.88B29.49%412.7B
Net income from continuing operations 42.69%306.31B9.12%266.54B-14.40%979.32B-16.78%278.43B-23.60%241.94B-19.29%214.67B7.69%244.27B72.55%1.14T81.10%334.55B82.16%316.69B
Operating gains losses -11.99%687.86M227.66%2.78B-273.19%-4.7B-48.14%-5.83B-71.29%2.53B128.98%781.6M-505.10%-2.18B112.44%2.71B37.91%-3.93B281.83%8.81B
Depreciation and amortization 33.26%165.17B44.14%159.02B21.71%532.19B40.03%150.65B39.81%147.28B9.46%123.94B-0.70%110.32B3.52%437.25B-2.78%107.58B-1.57%105.35B
Other non cash items -70.43%-18.34B-58.93%-16.8B-361.70%-48.63B-113.28%-14.55B-289.18%-12.75B-1,571.26%-10.76B-5,167.22%-10.57B-1,386.09%-10.53B-1,173.40%-6.82B-6,380.55%-3.28B
Change In working capital 125.50%10.56B-41.77%25.62B-146.41%-56.85B-57.51%23.58B-827.54%-83.02B-285.64%-41.4B32.12%44B-7.52%122.51B-37.41%55.49B-84.17%11.41B
-Change in receivables 80.83%-8.24B-100.06%-48.82M188.96%29.4B-30.82%20.9B19.44%-31.78B-395.49%-43B650.71%83.28B36.78%-33.05B371.59%30.21B-343.53%-39.45B
-Change in inventory 70.61%-5.37B-417.37%-16.13B-6.42%-29.85B494.31%11.09B-2,991.74%-27.76B-5.46%-18.26B172.42%5.08B49.69%-28.05B74.12%-2.81B92.39%-897.78M
-Change in payables and accrued expense 57.26%19.05B177.13%39.11B-162.84%-57.96B-54.71%10.99B-213.26%-30.36B-50.89%12.11B-407.20%-50.7B-4.44%92.24B-51.62%24.26B259.91%26.8B
-Change in other current assets -320.50%-378.29M-47.17%-3.11B-48.05%-11.08B-346.17%-6.35B18.27%-2.79B102.24%171.56M-308.05%-2.11B21.09%-7.49B169.35%2.58B24.54%-3.41B
-Change in other current liabilities -27.44%5.5B-19.80%7.35B-86.85%13.33B-1,164.92%-13.45B-64.66%10.03B-75.81%7.58B-77.32%9.17B-34.20%101.39B-98.03%1.26B-68.42%28.38B
-Change in other working capital -39.19%1.42M-116.52%-1.56B72.93%-687.2M7,758.56%396.94M-3,577.68%-367.69M111.68%2.34M71.29%-718.79M-299.69%-2.54B-292.18%-5.18M-7.01%-10M
Cash from discontinued investing activities
Operating cash flow 125.81%377.67B13.26%436.31B-22.89%1.24T-18.91%394.83B-28.61%294.65B-50.64%167.25B3.51%385.24B44.82%1.61T28.74%486.88B29.49%412.7B
Investing cash flow
Cash flow from continuing investing activities 23.80%-197.61B41.30%-159.81B23.91%-906.12B61.37%-132.32B14.82%-242.24B6.02%-259.33B5.50%-272.23B-42.39%-1.19T-39.61%-342.53B-60.65%-284.39B
Net PPE purchase and sale 17.91%-205.53B40.16%-180.98B12.25%-949.18B49.55%-169.86B14.80%-226.49B-15.03%-250.38B-15.65%-302.45B-28.77%-1.08T-43.03%-336.66B-41.00%-265.84B
Net intangibles purchase and sale -53.56%-2.97B-616.50%-2.04B20.55%-5.52B-44.84%-2.13B30.01%-1.17B39.97%-1.93B51.11%-285.02M23.22%-6.94B56.27%-1.47B-7.19%-1.67B
Net investment purchase and sale 36.38%-18.6B-72.59%4.43B56.70%-55.78B83.89%-3.14B-61.32%-39.58B50.11%-29.24B161.75%16.18B-2,855.12%-128.84B-137.50%-19.49B-369.96%-24.53B
Net other investing changes 34.73%9.5B-35.16%1.28B726.21%44.94B332.74%27.88B14,772.28%8.03B2,889.55%7.05B252.84%1.98B1,219.97%5.44B7,951.48%6.44B-91.26%54.03M
Cash from discontinued investing activities
Investing cash flow 23.80%-197.61B41.30%-159.81B23.91%-906.12B61.37%-132.32B14.82%-242.24B6.02%-259.33B5.50%-272.23B-42.39%-1.19T-39.61%-342.53B-60.65%-284.39B
Financing cash flow
Cash flow from continuing financing activities -239.41%-90.24B-11.16%-71.69B-2.32%-204.89B-7.93%-75.37B70.51%-38.45B-239.35%-26.59B-237.87%-64.49B-246.58%-200.24B-184.87%-69.83B-269.17%-130.41B
Net issuance payments of debt -78.28%10.26B-84.00%1.39B13.83%93.35B19.92%8.57B150.60%28.85B-42.59%47.23B-82.44%8.71B-79.35%82.01B-95.39%7.14B-283.53%-57B
Net common stock issuance ----------0--0--0-----------871.6M---34K--0
Cash dividends paid -27.28%-90.76B-9.10%-77.8B-2.27%-291.72B-9.10%-77.8B0.00%-71.31B0.00%-71.31B0.00%-71.31B-7.32%-285.23B-0.00%-71.31B-10.00%-71.31B
Net other financing activities -100.38%-11.57M34,871.12%6.5B-32.56%10.84B-358.42%-141.43M3,229.96%7.95B-73.93%3.04B-100.41%-18.68M77.73%16.07B116.20%54.73M-378.33%-254.15M
Cash from discontinued financing activities
Financing cash flow -239.41%-90.24B-11.16%-71.69B-2.32%-204.89B-7.93%-75.37B70.51%-38.45B-239.35%-26.59B-237.87%-64.49B-246.58%-200.24B-184.87%-69.83B-269.17%-130.41B
Net cash flow
Beginning cash position 22.59%1.7T9.13%1.47T26.09%1.34T1.22%1.31T1.88%1.28T20.29%1.39T26.09%1.34T61.32%1.06T51.79%1.3T67.54%1.25T
Current changes in cash 175.69%89.82B322.08%204.82B-40.32%130.95B151.14%187.14B764.67%13.95B-244.72%-118.67B-25.36%48.53B-46.79%219.43B-65.36%74.52B-101.97%-2.1B
Effect of exchange rate changes 9.42%11.12B557.65%27.95B-114.28%-8.34B-20.94%-33.52B-52.96%21.13B-48.18%10.16B-128.29%-6.11B870.02%58.4B-599.60%-27.72B8,552.90%44.92B
End cash Position 40.92%1.8T22.59%1.7T9.13%1.47T9.13%1.47T1.22%1.31T1.88%1.28T20.29%1.39T26.09%1.34T26.09%1.34T51.79%1.3T
Free cash flow 298.23%168.96B206.83%252.95B-44.99%286.57B49.79%222.53B-53.92%66.84B-172.29%-85.23B-24.68%82.44B98.30%520.97B6.66%148.55B12.88%145.06B
Currency Unit TWDTWDTWDTWDTWDTWDTWDTWDTWDTWD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --------------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

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Business Data

Market Share

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