Page 49 - 2022 CPC Corporation,Taiwan
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BALANCE SHEETS DECEMBER 31, 2021 AND 2020 (In Thousands of New Taiwan Dollars)  Assets 2021 Current Assets Cash and cash equivalents $ 2,710,867 Current financial assets at fair value through profit or loss 863 2020 $ 3,005,625 - 38,408,233 379,697 5,864,711 80,176,537 15,811,173 1,385,559 145,031,535 9,239,672 11,988,290 434,621,786 38,865,819 19,235,656 318,126 8,795,694 50,336,445 293,498 16,419,096 1,880,973 252,337 592,247,392 $ 737,278,927   Accounts receivable, net Accounts receivables from related parties, net Other receivables Inventories Prepayments Other current assets Total Current Assets Non-current Assets Non-current financial assets at fair value through other comprehensive income Investments accounted for using equity method Property, plant and equipment Right-of-use assets Investment property Intangible assets Deferred income tax assets Oil and gas investments Refundable deposits Long-term receivables Long-term prepayments Other non-current assets Total Non-current Assets Total Assets $ 56,666,521 332,899 6,792,577 127,147,077 20,582,107 2,288,097 216,521,008 16,409,518 11,837,200 446,820,912 36,295,738 19,218,218 447,680 16,762,028 59,089,839 249,390 16,504,018 1,886,101 243,101 625,763,743 842,284,751              46 47 


































































































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