Business Description

Taiwan Semiconductor Manufacturing Co., Ltd. (TSMC) is a Taiwan-based multinational company that operates as the world's largest dedicated semiconductor foundry. The company manufactures integrated circuits and wafer semiconductor devices based on proprietary designs provided by its fabless customers. TSMC is renowned for its advanced chip manufacturing capabilities, producing cutting-edge nodes that power high-performance computing, smartphones, and automotive electronics globally.

Financial Statements

In thousands, USD
FY 2025FY 2024FY 2023FY 2022
Total Revenues3,809,050,0002,894,310,0002,161,740,0002,263,890,000
Cost of Sales1,527,760,0001,269,950,000986,625,000915,537,000
Gross Profit2,281,290,0001,624,350,0001,175,110,0001,348,350,000
Selling, General & Administrative Expenses99,222,40096,888,60071,463,50063,445,300
Research & Development Expenses246,427,000204,182,000182,370,000163,262,000
Other Operating Expenses(447,300)1,230,200(188,700)368,400
Operating Profit1,936,090,0001,322,050,000921,466,0001,121,280,000
Interest and Investment Income105,739,00087,213,40060,293,90022,422,200
Interest Expense(12,370,400)(10,495,400)(11,999,400)
Non-Operating Income12,194,3007,069,0009,556,400371,100
Total Non-Operating Income105,563,00083,787,00057,850,90022,793,300
Income Before Provision for Income Taxes2,041,650,0001,405,840,000979,317,0001,144,070,000
Provision for Income Taxes346,530,000248,316,000128,289,000150,778,000
Consolidated Net Income1,695,120,0001,157,520,000851,028,000993,295,000
Net Income Attributable to Minority Interests and Other(2,479,100)(856,300)(712,300)371,300
Net Income Attributable to Common Shareholders1,697,600,0001,158,380,000851,740,000992,923,000
Basic EPS327.35223.40164.25191.45
Diluted EPS327.35223.35164.25191.45
Basic Weighted Average Shares Outstanding5,185,6605,185,5205,185,8405,185,840
Diluted Weighted Average Shares Outstanding5,186,1205,185,9405,185,8605,185,880
Shares Outstanding5,186,5005,186,5505,186,4105,186,080
FY 2025FY 2024FY 2023FY 2022
Cash and Cash Equivalents2,767,860,0002,127,630,0001,465,430,0001,342,810,000
Short-Term Investments360,441,000357,531,000249,375,000244,636,000
Total Cash and Cash Equivalents3,128,300,0002,485,160,0001,714,800,0001,587,450,000
Accounts Receivable279,052,000270,683,000201,314,000229,756,000
Other Receivables3,007,6001,404,700696,3221,653,000
Total Trade Receivables282,059,000272,088,000202,010,000231,409,000
Inventories288,110,000287,869,000250,997,000221,149,000
Other Current Assets118,664,00043,237,40026,222,40012,888,800
Total Current Assets3,817,130,0003,088,350,0002,194,030,0002,052,900,000
Net Property, Plant & Equipment3,735,760,0003,275,110,0003,104,900,0002,735,750,000
Net Intangible Assets24,952,60026,282,50022,766,70025,999,200
Long-Term Investments172,189,000148,867,000129,442,00068,608,100
Other Long-Term Assets182,810,000153,155,00081,229,60081,204,100
Total Assets7,932,840,0006,691,760,0005,532,370,0004,964,460,000
Accounts Payable262,061,000266,862,000228,778,000270,022,000
Accrued Expenses568,352,000569,482,000380,585,000391,355,000
Current Portion of Long-Term Debt136,926,00059,857,9009,293,27019,313,900
Other Current Liabilities555,075,000412,455,000294,927,000305,873,000
Total Current Liabilities1,522,410,0001,308,660,000913,583,000986,564,000
Long-Term Debt896,062,000958,429,000918,283,000839,096,000
Leases31,595,00028,755,30028,681,80029,764,100
Other Long-Term Liabilities86,552,300116,653,000188,560,000191,203,000
Total Long-Term Liabilities1,014,210,0001,103,840,0001,135,530,0001,060,060,000
Total Liabilities2,536,620,0002,412,490,0002,049,110,0002,046,630,000
Common Stock259,325,000259,327,000259,321,000259,304,000
Additional Paid-in Capital73,445,60073,260,80069,876,40069,330,300
Accumulated Other Comprehensive Income(16,676,400)38,705,000(28,314,300)(20,505,600)
Retained Earnings5,038,940,0003,872,970,0003,158,030,0002,594,890,000
Total Common Shareholders' Equity5,355,040,0004,244,270,0003,458,910,0002,903,020,000
Minority Interests and Other41,180,50035,005,10024,349,20014,812,700
Total Shareholders' Equity5,396,220,0004,279,270,0003,483,260,0002,917,830,000
Total Liabilities and Shareholders' Equity7,932,840,0006,691,760,0005,532,370,0004,964,460,000
FY 2025FY 2024FY 2023FY 2022
Net Income2,041,650,0001,405,840,000979,317,0001,144,070,000
Depreciation & Amortization688,096,000662,797,000532,191,000437,254,000
Share-Based Compensation Expense1,246,1001,242,700483,000302,400
Other Adjustments(91,712,100)(73,413,000)(53,296,000)(6,977,000)
Changes in Trade Receivables(9,971,200)(70,077,800)29,398,600(33,046,100)
Changes in Inventories(240,700)(36,871,700)(29,847,900)(28,046,800)
Changes in Accounts Payable10,103,70016,933,500770,7007,799,500
Changes in Accrued Expenses(54,310,000)109,065,000(58,733,200)84,436,100
Changes in Income Taxes Payable(267,558,000)(183,640,000)(159,875,000)(86,561,200)
Changes in Other Operating Activities(42,333,800)(5,697,700)1,559,80091,365,800
Cash from Operating Activities2,274,980,0001,826,180,0001,241,970,0001,610,600,000
Capital Expenditure(1,272,410,000)(956,007,000)(949,817,000)(1,082,670,000)
Proceeds from Sale of Property, Plant & Equipment797,000894,600703,900983,300
Purchases of Intangible Assets(10,146,900)(8,875,700)(5,518,400)(6,954,300)
Proceeds from Sale of Intangible Assets57,2003,10012,600
Purchases of Investments(256,004,000)(244,362,000)(226,282,000)(237,818,000)
Proceeds from Sale of Investments218,358,000186,361,000170,432,000107,296,000
Other Investing Activities175,013,000157,088,000104,357,00028,224,300
Cash from Investing Activities(1,144,390,000)(864,843,000)(906,121,000)(1,190,930,000)
Issuance of Short-Term Debt335,100(26,496,600)27,908,600(111,960,000)
Net Issuance / (Repayments) of Short-Term Debt335,100(26,496,600)27,908,600(111,960,000)
Issuance of Long-Term Debt97,558,40065,197,00088,150,000200,964,000
Repayments of Long-Term Debt(57,020,000)(9,295,600)(19,856,900)(4,566,700)
Net Issuance / (Repayments) of Long-Term Debt40,538,40055,901,40068,293,100196,397,000
Issuance of Common Shares(3,089,200)
Repurchases of Common Shares(871,600)
Net Issuance / (Repurchases) of Common Shares(3,089,200)(871,600)
Common Share Dividends Paid(466,779,000)(363,055,000)(291,722,000)(285,234,000)
Other Financing Activities(14,438,900)(9,561,400)(9,374,000)1,424,900
Cash from Financing Activities(440,345,000)(346,301,000)(204,894,000)(200,244,000)
Effect of Exchange Rate Changes on Cash and Cash Equivalents(50,008,200)47,165,900(8,338,800)58,397,000
Increase / (Decrease) in Cash, Cash Equivalents and Restricted Cash640,229,000662,199,000122,614,000277,824,000

Key Metrics & Ratios

MetricValue
Market Cap$1576.13B
P/E29.14x
P/S12.99x
EV/EBITDA18.08x
Return on Equity35.0%
Return on Invested Capital40.6%
Current Ratio2.51x
Dividend Yield0.9%
Free Cash Flow Margin26.3%

Margins

Gross margin
59.9%
Operating margin
50.8%
Net margin
44.5%

Quarterly Trend

QuarterRevenueYoY growthOperating marginOperating income
Q1 2026 $1134.10B +35.1% 58.1% $658.97B
Q4 2025 $1046.09B +20.5% 54.0% $564.90B
Q3 2025 $989.92B +30.3% 50.6% $500.69B
Q2 2025 $933.79B +38.6% 49.6% $463.42B
Q1 2025 $839.25B 48.5% $407.08B
Q4 2024 $868.46B 49.0% $425.71B
Q3 2024 $759.69B 47.5% $360.77B
Q2 2024 $673.51B 42.5% $286.56B

More on Taiwan Semiconductor Manufacturing Company Limited

Financial data last updated 2026-07-14. Figures compiled from public company filings.

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