Company: GGR
Filing Date: 2025-03-31
Form Type: 20-F
Source: 0001886190-25-000017
Chunk: 194

Company: Gogoro Inc.
Filing Date: 2025-03-31
Form: 20-F
Item: Item 18
Chunk 194
---
,000 11.50 five years

d. Redeemable preferred shares

On July 21, 2020, board of directors of Gogoro resolved to issue 22,000 1.00 5.00 20,000 100.0

Pursuant to the resolution of the board of directors in December 2021, Gogoro redeemed all redeemable preferred shares at the redemption amount of $ 108.1 2.1

13. NOTES AND TRADE PAYABLES

                      As of December 31,                                    
                      2024                                2023              
 ────────────────────────────────────────────────────────────────────────────
  Notes payables      $                           80      $            182  
  Trade payables                              29,271                37,935  
                      $                       29,351      $         38,117  

The average term of payment is two four months

F-32

Table of Contents

14. OTHER LIABILITIES

                                                  As of December 31,                                    
                                                  2024                                2023              
 ────────────────────────────────────────────────────────────────────────────────────────────────────────
  Non-financial liabilities                                                                             
  Advance receipts                                $                       15,754      $         20,935  
  Payables for employee benefits                                           8,351                 9,785  
  Others                                                                   2,499                 1,978  
                                                                          26,604                32,698  
  Financial liabilities                                                                                 
  Accrued expenses                                                        22,940                22,542  
  Payables for property, plant and equipment                               1,354                 1,718  
  Guarantee deposits received                     984                                            1,215  
                                                                          25,278                25,475  
                                                  $                       51,882      $         58,173  
  Current                                         $                       40,465      $         42,439  
  Non-current                                                             11,417                15,734  
                                                  $                       51,882      $         58,173  

Advance receipts were mainly from government grants for energy facilities.

15. PROVISIONS

                                                  As of December 31,                                  
                                                  2024                               2023             
 ──────────────────────────────────────────────────────────────────────────────────────────────────────
  Provisions for product warranty and others      $                       5,659      $         6,506  
  Current