UMC Reports Second Quarter 2024 Results

Net non-operating income in 2Q24 was NT$2.53 billion, primarily due to the NT$1.44 billion in net investment gain, the NT$0.70 billion in net interest income and the NT$0.41 billion in exchange gain.

Non-Operating Income and Expenses

(Amount: NT$ million)

2Q24

 

1Q24

 

2Q23

 

Non-Operating Income and Expenses

2,529

 

1,056

 

2,810

 

Net Interest Income and Expenses

701

 

676

 

974

 

Net Investment Gain and Loss

1,440

 

(324

)

1,042

 

Exchange Gain and Loss

407

 

697

 

799

 

Other Gain and Loss

(19

)

7

 

(5

)

In 2Q24, cash inflow from operating activities was NT$22.73 billion. Cash outflow from investing activities totaled NT$15.13 billion, which included NT$20.83 billion in capital expenditure, resulting in free cash inflow of NT$1.90 billion. Cash outflow from financing was NT$5.71 billion, primarily from NT$3.00 billion in redemption of bonds and NT$2.50 billion in bank loans. Net cash flow in 2Q24 amounted to NT$2.23 billion. Over the next 12 months, the company expects to repay NT$4.32 billion in bank loans.

Cash Flow Summary

(Amount: NT$ million)

For the 3-Month Period Ended

Jun. 30, 2024

For the 3-Month Period Ended

Mar. 31, 2024

Cash Flow from Operating Activities

22,728

 

20,820

 

Net income before tax

16,420

 

12,721

 

Depreciation & Amortization

11,117

 

10,886

 

Share of profit of associates and

joint ventures

(1,267

)

(101

)

Income tax paid

(5,831

)

(253

)

Changes in working capital & others

2,289

 

(2,433

)

Cash Flow from Investing Activities

(15,131

)

(29,915

)

Decrease in financial assets measured at amortized cost

3,219

 

739

 

Acquisition of PP&E

(20,042

)

(28,498

)

Changes in refundable deposits

1,507

 

(536

)

Acquisition of intangible assets

(578

)

(846

)

Others

763

 

(774

)

Cash Flow from Financing Activities

(5,705

)

(6,439

)

Bank loans

(2,503

)

(3,888

)

Redemption of bonds

(3,000

)

(2,100

)

Decrease in deposits-in

(33

)

(282

)

Others

(169

)

(169

)

Effect of Exchange Rate

341

 

2,411

 

Net Cash Flow

2,233

 

(13,123

)

Beginning balance

119,431

 

132,554

 

Changes in non-current assets held for sale

(430

)

-

 

Ending balance

121,234

 

119,431

 


« Previous Page 1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 | 9  Next Page »
Featured Video
Jobs
Senior Principal Software Engineer for Autodesk at San Francisco, California
Principal Engineer for Autodesk at San Francisco, California
Machine Learning Engineer 3D Geometry/ Multi-Modal for Autodesk at San Francisco, California
Mechanical Manufacturing Engineering Manager for Google at Sunnyvale, California
Senior Principal Mechanical Engineer for General Dynamics Mission Systems at Canonsburg, Pennsylvania
Mechanical Test Engineer, Platforms Infrastructure for Google at Mountain View, California
Upcoming Events
World Architecture Festival 2024 at Marina Bay Sands Singapore - Nov 6 - 8, 2024
Dimensions User Conference 2024 at The Venetian Resort Las Vegas NV - Nov 11 - 13, 2024
Greenbuild 2024 at Pennsylvania Convention Center Philadelphia PA - Nov 12 - 15, 2024
Digital Construction North (DCN) 2024 at Manchester Central. Manchester United Kingdom - Nov 13, 2024



© 2024 Internet Business Systems, Inc.
670 Aberdeen Way, Milpitas, CA 95035
+1 (408) 882-6554 — Contact Us, or visit our other sites:
TechJobsCafe - Technical Jobs and Resumes EDACafe - Electronic Design Automation GISCafe - Geographical Information Services  MCADCafe - Mechanical Design and Engineering ShareCG - Share Computer Graphic (CG) Animation, 3D Art and 3D Models
  Privacy PolicyAdvertise