TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD (TSM) Cash flow

Market cap
P/E ratio
2017/122018/122019/122020/122021/122022/122023/122024/122025/12
Stock-based compensation--00010163840
Cash from operations 19,74818,75120,56629,29740,09252,41140,56155,69372,521
Capital expenditures-11,153-10,310-15,394-18,064-30,252-35,232-31,019-29,155-40,561
Cash from investing -11,342-10,267-15,339-18,012-30,150-38,755-29,592-26,375-36,480
Payments for dividends 6,1246,7778,6709,2359,5819,2829,52711,07214,880
Proceeds from issuance of term debt, net---71558780942340
Repayments of term debt1----5577086
Cash from financing -7,277-8,008-9,015-3,1564,925-6,516-6,691-10,561-14,037
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