JCET Revenues of Q3 2024 and Q3 YTD 2024 Hit New Record High, Q3 Net Profit after Deducting Non-Recurring Items Increased by 19.5% Year-on-Year

Q3 2024 Financial Highlights?

    --  Revenue was RMB 9.49 billion, an increase of 14.9% year-on-year and 9.8%
        quarter-on-quarter, a record quarter in the company's history.
    --  Net profit attributable to owners of the parent was RMB 0.46 billion.
        Net profit attributable to owners of the parent after deducting
        non-recurring gains and losses was RMB 0.44 billion, an increase of
        19.5% year-on-year.

Q3 YTD 2024 Financial Highlights?

    --  Revenue was RMB 24.98 billion, an increase of 22.3% year-on-year, a
        record high in the company's history.
    --  Net profit attributable to owners of the parent was RMB 1.08 billion, an
        increase of 10.6% year-on-year.
    --  Earnings per share was RMB 0.60, as compared to RMB 0.54 in Q3 YTD 2023.

SHANGHAI, Oct. 25, 2024 /PRNewswire/ -- Today, JCET Group (SSE: 600584), a leading global provider of integrated circuit (IC) back-end manufacturing and technology services, announced its financial results for the third quarter of 2024. The financial report shows that in the third quarter of 2024, JCET achieved revenue of RMB 9.49 billion, an increase of 14.9% year-on-year, a record quarter in the company's history, and net profit attributable to owners of the parent of RMB 0.46 billion. Net profit attributable to owners of the parent after deducting non-recurring gains and losses was RMB 0.44 billion in Q3 2024, an increase of 19.5% year-on-year. In Q3 YTD 2024, JCET achieved revenue of RMB 24.98 billion, an increase of 22.3% year-on-year, a record high in the company's history, and net profit attributable to owners of the parent of RMB 1.08 billion, an increase of 10.6% year-on-year.

The operations of JCET factories have rebounded since 2024, and the company's capacity utilization rate is continuously increasing. In the first three quarters of this year, all business sector recovery has stabilized, and the company's earlier strategic layout began to contribute incremental growth. In the first three quarters, the revenues of the four major applications, including communications, consumer, computing, and automotive electronics all achieved double-digit year-on-year growth, with communication electronics achieving a significant growth of nearly 40% year-on-year. The company strengthened inventory control and supply chain management to ensure efficient circulation of capital, generating RMB 3.93 billion cash from operations in Q3 YTD 2024, a year-on-year increase of 29.7%.

JCET's acquisition of 80% equity of SanDisk (Shanghai), a global leading factory for memory chip packaging, has completed. This will further enhance the company's intelligent manufacturing and expand its market share in the memory and computing electronics. JCET microelectronics microsystem integration high-end manufacturing base has been put into use, providing one-stop IC back-end manufacturing services and addressing global customers' demand for high-performance chips.

Mr. Li Zheng, CEO of JCET, said, "JCET has actively promoted innovation in advanced packaging technology and capacity layout in recent years. Since the beginning of this year, the company business has continued to rebound, and its revenue in the first three quarters hits a new high in the company's history. JCET will continue to focus on advanced technology and high value-added markets to support sustainable development."

For more information, please refer to the JCET Q3 2024 Report.



     CONSOLIDATED BALANCE SHEET (Unaudited)                                                                                                                             
     RMB in millions




                                                                                                                                                                                             Sep 30, 2024                            Dec 31, 2023



     
              ASSETS



     
              Current assets



       Currency funds                                                                                                                                                                              9,257                                    7,325



       Trading financial assets                                                                                                                                                                    2,003                                    2,306



       Derivative financial assets                                                                                                                                                                     3                                        4



       Accounts receivable                                                                                                                                                                         5,916                                    4,185



       Receivables financing                                                                                                                                                                          35                                       38



       Prepayments                                                                                                                                                                                   133                                      104



       Other receivables                                                                                                                                                                             117                                       87



       Inventories                                                                                                                                                                                 4,740                                    3,195



       Other current assets                                                                                                                                                                          514                                      375



     
              Total current assets                                                                                                                                                              22,718                                   17,619



     
              Non-current assets



       Long-term receivables                                                                                                                                                                          33                                       33



       Long-term equity investments                                                                                                                                                                  826                                      695



       Other equity investments                                                                                                                                                                      434                                      447



       Investment properties                                                                                                                                                                          83                                       86



       Fixed assets                                                                                                                                                                               21,431                                   18,744



       Construction in progress                                                                                                                                                                    2,728                                    1,053



       Right-of-use assets                                                                                                                                                                           515                                      563



       Intangible assets                                                                                                                                                                             745                                      662



       Goodwill                                                                                                                                                                                    3,546                                    2,248



       Long-term prepaid expenses                                                                                                                                                                     10                                       17



       Deferred tax assets                                                                                                                                                                           493                                      364



       Other non-current assets                                                                                                                                                                       57                                       48



     
              Total non-current assets                                                                                                                                                          30,901                                   24,960



     
              Total assets                                                                                                                                                                      53,619                                   42,579





     
              LIABILITIES AND EQUITY                                                                                                                                                      Sep 30, 2024                            Dec 31, 2023



     
              Current liabilities



       Short-term borrowings                                                                                                                                                                       1,187                                    1,696



       Notes payable                                                                                                                                                                                 338                                      223



       Accounts payable                                                                                                                                                                            8,143                                    4,782



       Contract liabilities                                                                                                                                                                          316                                      185



       Employee benefits payable                                                                                                                                                                     751                                      781



       Taxes and surcharges payable                                                                                                                                                                  275                                      167



       Other payables                                                                                                                                                                                385                                      354



       Current portion of long-term liabilities                                                                                                                                                    4,215                                    1,491



       Other current liabilities                                                                                                                                                                       1                                        3



     
              Total current liabilities                                                                                                                                                         15,611                                    9,682



     
              Non-current liabilities



       Long-term borrowings                                                                                                                                                                        7,331                                    5,777



       Lease liabilities                                                                                                                                                                             504                                      530



       Long-term payables                                                                                                                                                                            833                                        0



       Long-term employee benefits payable                                                                                                                                                            15                                       14



       Deferred income                                                                                                                                                                               424                                      384



       Deferred tax liabilities                                                                                                                                                                      393                                        0



       Other non-current liabilities                                                                                                                                                                  28                                       41



     
              Total non-current liabilities                                                                                                                                                      9,528                                    6,746



     
              Total liabilities                                                                                                                                                                 25,139                                   16,428



     
              Equity



       Paid-in capital                                                                                                                                                                             1,789                                    1,789



       Capital reserves                                                                                                                                                                           15,230                                   15,237



       Accumulated other comprehensive income                                                                                                                                                        410                                      543



       Specialized reserves                                                                                                                                                                            1                                        0



       Surplus reserves                                                                                                                                                                              257                                      257



       Unappropriated profit                                                                                                                                                                       9,137                                    8,239



     Total equity attributable to owners of the parent                                                                                                                                            26,824                                   26,065



     Minority shareholders                                                                                                                                                                         1,656                                       86



     
              Total equity                                                                                                                                                                      28,480                                   26,151



     
              Total liabilities and equity                                                                                                                                                      53,619                                   42,579







     CONSOLIDATED INCOME STATEMENT (Unaudited)                                                            RMB in millions, except share
                                                                                                                                    data




                                                                                                                                        Three months ended                                 
      
              Nine months ended


                                                                                                                         Sep 30, 2024                      Sep 30, 2023                      Sep 30, 2024                            Sep 30, 2023



     
              Revenue                                                                                                           9,491                           8,257                             24,978                                   20,430



     Less: Cost of sales                                                                                                          8,331                           7,071                             21,748                                   17,596



               Taxes and surcharges                                                                                                  21                              36                                 56                                       82



               Selling expenses                                                                                                      69                              55                                187                                      155



               Administrative expenses                                                                                              100                             190                                533                                      536



               Research and development expenses                                                                                    413                             413                              1,232                                    1,082



               Finance expenses                                                                                                     119                              26                                108                                       77



                 Including: Interest expenses                                                                                       105                              84                                297                                      215



                          Interest income                                                                                            69                              35                                210                                       70



     Add: Other income                                                                                                               39                             103                                125                                      176



              Investment income / (loss)                                                                                              0                            (12)                              (14)                                    (34)



                 Including: Income / (loss) from investments in associates and joint ventures                                      (14)                           (12)                              (43)                                    (34)



              Gain / (loss) on changes in fair value of financial assets/liabilities                                                  3                              17                                (2)                                      62



              Credit impairment (loss is expressed by "-")                                                                            6                             (2)                               (1)                                     (3)



              Asset impairment (loss is expressed by "-")                                                                          (13)                           (26)                              (51)                                    (26)



              Gain / (loss) on disposal of assets                                                                                   (2)                              5                                  3                                       21



     
              Operating profit / (loss)                                                                                           471                             551                              1,174                                    1,098



     Add: Non-operating income                                                                                                        0                               0                                  1                                        3



     Less: Non-operating expenses                                                                                                     1                               1                                  3                                        5



     
              Profit / (loss) before income taxes                                                                                 470                             550                              1,172                                    1,096



     Less: Income tax expenses                                                                                                       16                              72                                101                                      122



     
              Net profit / (loss)                                                                                                 454                             478                              1,071                                      974



     Classified by continuity of operations



       Profit / (loss) from continuing operations                                                                                   454                             478                              1,071                                      974



     Classified by ownership



     
                Net profit / (loss) attributable to owners of the parent                                                          457                             478                              1,076                                      974



       Net profit / (loss) attributable to minority shareholders                                                                    (3)                              0                                (5)                                       0



     Add: Unappropriated profit at beginning of period                                                                            8,680                           7,293                              8,239                                    7,154



     Less: Cash dividends declared                                                                                                    0                               0                                178                                      357



     
              Unappropriated profit at end of period (attributable to owners of the parent?                                     9,137                           7,771                              9,137                                    7,771



     
              Other comprehensive income, net of tax                                                                            (181)                           (70)                             (133)                                     280



     
              Comprehensive income attributable to owners of the parent                                                         (181)                           (70)                             (133)                                     280



     Comprehensive income not be reclassified to profit or loss                                                                       0                             (7)                              (13)                                      10



       Remeasurement gains or losses of a defined benefit plan                                                                        0                               0                                  0                                        1



       Change in the fair value of other equity investments                                                                           0                             (7)                              (13)                                       9



     Comprehensive income to be reclassified to profit or loss                                                                    (181)                           (63)                             (120)                                     270



       Exchange differences of foreign currency financial statements                                                              (181)                           (63)                             (120)                                     270



     
              Total comprehensive income                                                                                          273                             867                                938                                    1,254



       Including:



          Total comprehensive income attributable to owners of the parent                                                           276                             408                                943                                    1,254



          Total comprehensive income attributable to minority shareholders                                                          (3)                              0                                (5)                                       0



     
              Earnings per share



       Basic earnings per share                                                                                                    0.25                            0.26                               0.60                                     0.54



       Diluted earnings per share                                                                                                  0.25                            0.26                               0.60                                     0.54







     CONSOLIDATED CASH FLOW STATEMENT (Unaudited)                                                                                                                                                               
            RMB in millions




                                                                                                                                        Three months ended                                 
      
              Nine months ended


                                                                                                                         Sep 30, 2024                      Sep 30, 2023                      Sep 30, 2024                            Sep 30, 2023



     
              CASH FLOWS FROM OPERATING ACTIVITIES



       Cash receipts from the sale of goods and the rendering of services                                                         9,011                           7,574                             25,601                                   20,737



       Receipts of taxes and surcharges refunds                                                                                     139                              52                                337                                      267



       Other cash receipts relating to operating activities                                                                          92                             126                                375                                      289



     Total cash inflows from operating activities                                                                                 9,242                           7,752                             26,313                                   21,293



       Cash payments for goods and services                                                                                       6,742                           5,840                             17,996                                   14,293



       Cash payments to and on behalf of employees                                                                                1,198                             899                              3,446                                    2,972



       Payments of all types of taxes and surcharges                                                                                284                             180                                573                                      646



       Other cash payments relating to operating activities                                                                         111                             221                                364                                      349



     Total cash outflows from operating activities                                                                                8,335                           7,140                             22,379                                   18,260



     
              Net cash flows from operating activities                                                                            907                             612                              3,934                                    3,033



     
              CASH FLOWS FROM INVESTING ACTIVITIES



       Cash receipts from returns of investments                                                                                  3,600                           3,601                             12,650                                   11,881



       Cash receipts from investment income                                                                                          15                              15                                 30                                       68



       Net cash receipts from disposal of fixed assets, intangible assets and other long-term assets                                  1                              99                                  6                                      131



     Total cash inflows from investing activities                                                                                 3,616                           3,715                             12,686                                   12,080



       Cash payments to acquire fixed assets, intangible assets and other long-term assets                                        1,219                             845                              3,089                                    2,434



       Cash payments for investments                                                                                              4,000                           5,181                             12,350                                   11,161



       Net cash payments for acquisition of subsidiaries and other business units                                                 1,520                               0                              1,520                                        0



     Total cash outflows from investing activities                                                                                6,739                           6,026                             16,959                                   13,595



     
              Net cash flows from investing activities                                                                        (3,123)                        (2,311)                           (4,273)                                 (1,515)



     
              CASH FLOWS FROM FINANCING ACTIVITIES



       Cash proceeds from investments by others                                                                                       0                              32                                776                                      262



           Including: Cash receipts from capital contributions from minority shareholders of subsidiaries                           0                               0                                765                                       86



       Cash receipts from borrowings                                                                                              2,050                           4,823                              5,057                                    6,487



     Total cash inflows from financing activities                                                                                 2,050                           4,855                              5,833                                    6,749



       Cash repayments for debts                                                                                                  1,048                           3,723                              3,011                                    5,464



       Cash payments for distribution of dividends or profit and interest expenses                                                   83                              78                                435                                      545



       Other cash payments relating to financing activities                                                                          21                              22                                 74                                       69



     Total cash outflows from financing activities                                                                                1,152                           3,823                              3,520                                    6,078



     
              Net cash flows from financing activities                                                                            898                           1,032                              2,313                                      671



     
              EFFECT OF EXCHANGE RATE CHANGES ON CASH AND CASH EQUIVALENTS                                                       (46)                            (7)                              (42)                                      30



     
              NET INCREASE IN CASH AND CASH EQUIVALENTS                                                                       (1,364)                          (674)                             1,932                                    2,219



     Add: Cash and cash equivalents at beginning of period                                                                       10,621                           5,346                              7,325                                    2,453



     
              CASH AND CASH EQUIVALENTS AT END OF PERIOD                                                                        9,257                           4,672                              9,257                                    4,672

About JCET Group

JCET Group is the world's leading integrated-circuit manufacturing and technology services provider, offering a full range of turnkey services that include semiconductor package integration design and characterization, R&D, wafer probe, wafer bumping, package assembly, final test and drop shipment to vendors around the world.

Our comprehensive portfolio covers a wide spectrum of semiconductor applications such as mobile, communication, compute, consumer, automotive, and industrial, through advanced wafer-level packaging, 2.5D/3D, System-in-Package, and reliable flip chip and wire bonding technologies. JCET Group has two R&D centers in China and Korea, eight manufacturing locations in China, Korea, and Singapore, and sales centers around the world, providing close technology collaboration and efficient supply-chain manufacturing to our global customers.

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SOURCE JCET Group