Taiwan Semiconductor Manufacturing Company Limited (TSM)
NYSE: TSM · Real-Time Price · USD
392.31
-6.78 (-1.70%)
At close: Jul 28, 2026, 4:00 PM EDT
394.72
+2.41 (0.61%)
After-hours: Jul 28, 2026, 7:59 PM EDT

TSMC Balance Sheet

Millions TWD. Fiscal year is Jan - Dec.
Fiscal Year
TTMFY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Jun '26 Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
3,134,2182,767,8562,127,6271,465,4281,342,8141,064,990
Short-Term Investments
383,795360,441357,531249,375244,636140,096
Cash & Short-Term Investments
3,518,0133,128,2982,485,1581,714,8031,587,4501,205,086
Cash Growth
31.09%25.88%44.92%8.02%31.73%50.23%
Accounts Receivable
440,923279,052270,683201,314229,756197,586
Other Receivables
-3,0081,405696.31,653776.8
Total Trade Receivables
440,923282,059272,088202,010231,409198,363
Inventory
385,525288,110287,869250,997221,149193,102
Other Current Assets
221,240118,66443,23726,22212,88910,522
Total Current Assets
4,565,7013,817,1313,088,3522,194,0332,052,8971,607,073
Net Property, Plant & Equipment
4,302,8803,735,7603,275,1093,104,9002,735,7512,007,853
Other Intangible Assets
-24,95326,28322,76725,99926,822
Long-Term Investments
227,936172,189148,867129,26868,60829,184
Other Long-Term Assets
279,138182,810153,15581,23081,20454,371
Total Assets
9,375,6557,932,8436,691,7655,532,1974,964,4593,725,302
Accounts Payable
401,476262,061266,862228,778270,022194,465
Accrued Expenses
951,440568,352569,482380,585391,355222,595
Short-Term Debt
-----114,921
Current Portion of Long-Term Debt
167,410136,92659,8589,29319,3144,567
Other Current Liabilities
337,436555,075412,455324,149305,873221,805
Total Current Liabilities
1,857,7621,522,4141,308,656942,805986,564758,353
Long-Term Debt
815,037896,062958,429918,283839,096613,380
Long-Term Leases
-31,59528,75528,68229,76420,764
Other Long-Term Liabilities
228,38586,552116,653188,560191,203181,123
Total Long-Term Liabilities
1,043,4221,014,2091,103,8371,135,5251,060,063815,267
Total Liabilities
2,901,1842,536,6232,412,4932,078,3302,046,6271,573,620
Common Stock
259,324259,325259,327259,321259,304259,304
Additional Paid-in Capital
72,29173,44673,26169,87669,33064,762
Accumulated Other Comprehensive Income
49,790-16,67638,705-28,314-20,506-62,608
Retained Earnings
6,051,1135,038,9443,872,9733,128,6402,594,8911,887,803
Total Common Shareholders' Equity
6,432,5185,355,0394,244,2673,429,5222,903,0202,149,260
Minority Interest
41,95341,18135,00524,34414,8132,423
Shareholders' Equity
6,474,4715,396,2194,279,2723,453,8672,917,8322,151,683
Total Liabilities & Equity
9,375,6557,932,8436,691,7655,532,1974,964,4593,725,302
Total Debt
982,4471,064,5831,047,042956,258888,174753,632
Net Cash (Debt)
2,535,5662,063,7151,438,116758,545699,276451,454
Net Cash Growth
51.43%43.50%89.59%8.48%54.89%3.94%
Net Cash Per Share
488.90397.93277.31146.27134.8487.05
Book Value
6,432,5185,355,0394,244,2673,429,5222,903,0202,149,260
Book Value Per Share
1240.311032.57818.42661.32559.79414.43
Tangible Book Value
6,432,5185,330,0864,217,9843,406,7562,877,0212,122,438
Tangible Book Value Per Share
1240.311027.76813.35656.93554.78409.26
SEC Filings: 10-K · 10-Q