Page 49 - 2024 CPC Corporation,Taiwan
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  BALANCE SHEETS DECEMBER 31, 2023 AND 2022
Assets Current Assets
Cash and cash equivalents
Current financial assets at fair value through profit or loss
Accounts receivable, net
Accounts receivables from related parties, net
Other receivables
Inventories 152,373,210 Prepayments 23,594,817
Financial Statements ●
(In Thousands of New Taiwan Dollars)
  2023
$ 8,870,152
2022 (restatement)
$ 2,012,293
26 80,492,241 838,796 7,303,141 162,308,160 41,479,530 8,111,475 302,545,662
14,352,745 11,830,005 462,939,340
33,517,575 82,888,031 546,732 44,645,099 57,583,763 336,183 18,399,729 1,855,046 235,667 729,129,915
$ 1,031,675,577
  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
$
9,536,276 275,816,027
15,261,397 11,404,276 503,242,547
34,421,886 89,068,494 479,788 43,578,022 59,911,906 285,685 16,308,716 2,842,532 146,283 776,951,532
1,052,767,559
72,762,580 927,174 7,751,818
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