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Cenntro Announces Third Quarter 2024 Financial Results

Cenntro Announces Third Quarter 2024 Financial Results

Cenntro宣佈2024年第三季度財務結果
Cenntro Electric ·  11/12 13:00

FREEHOLD, N.J.--(BUSINESS WIRE)--Nov. 12, 2024--Cenntro Inc. (NASDAQ: CENN) ("Cenntro" or "the Company"), a pioneering electric commercial vehicle company with advanced, market-validated, and purpose-built vehicles, has reported its financial and operational results for the third quarter ended September 30, 2024.

新澤西自由保有--(商業線)--2024年11月12日--Cenntro公司(納斯達克:CENN)(「Cenntro」或「該公司」),一家擁有先進、市場驗證和專爲用途打造的電商用車公司,已公佈截至2024年9月30日第三季度的財務和運營結果。

Third Quarter 2024 Financial and Operational Highlights:

2024年第三季度財務和運營亮點:

  • Third quarter 2024 net revenue of $16.7 million increased 190% compared to $5.8 million for the third quarter of 2023.
  • United States ("US") sales volume increased to $10.3 million in the third quarter of 2024 from $0.2 million for the third quarter of 2023.
  • Adjusted EBITDA loss for the third quarter of 2024 of $7.5 million compared to a loss of $12.1 million for the third quarter of 2023.
  • Sold 662 Electric Commercial Vehicles in the third quarter of 2024.
  • Sold 78 Logistar 400 Class 4 vehicles in the US market compared to 1 vehicle in the third quarter of 2023.
  • Sold 334 Avantier vehicles in Europe and South American markets in the third quarter of 2024 compared to 21 vehicles in the third quarter of 2023.
  • Sold 230 iChassis kits in the third quarter of 2024 compared to 103 kits in the third quarter of 2023.
  • 2024年第三季度淨營業收入爲1670萬美元,比2023年第三季度的580萬美元增長了190%。
  • 美國銷售額在2024年第三季度增至1030萬美元,而2013年第三季度爲20萬美元。
  • 2024年第三季度調整後的EBITDA虧損爲750萬美元,而2013年第三季度虧損爲1210萬美元。
  • 在2024年第三季度銷售了662輛電商用車。
  • 在美國市場上,在2024年第三季度銷售了78輛Logistar 400級別的車輛,而2013年第三季度僅銷售了1輛車。
  • 在2024年第三季度,Avantier車輛在歐洲和南美市場銷售了334輛,而2013年第三季度僅銷售了21輛。
  • 2024年第三季度銷售了230套iChassis套件,而在2023年第三季度僅銷售了103套。

Peter Wang, Chief Executive Officer illustrated: "In the third quarter of 2024, we continued our steady growth in the US market, selling and delivering Cenntro products as we positioned the Company for a longer-term profitable future. During the third quarter, we sold a total of 662 vehicles across our portfolio, compared to 298 vehicles in the prior year period. Additionally, we sold 230 units of our iChassis in the third quarter, although these units are not inclusive of the number of vehicles sold because iChassis is not considered a complete vehicle. We expect a significant revenue increase in the US market as we continue to shift our strategy to focus towards North American sales, and introduction of additional new models in the US market.

首席執行官彼得·王解釋道:「在2024年第三季度,我們在美國市場持續穩步增長,銷售和交付Cenntro產品,爲公司未來長期盈利做好準備。在第三季度,我們在各車型系列共售出662輛車,相比之下,前一年同期售出298輛車。此外,我們在第三季度銷售了230台iChassis單元,儘管這些單元不包括所售車輛的數量,因爲iChassis並不被視爲一輛完整的車輛。隨着我們繼續調整策略以專注於北美銷售,並在美國市場推出更多新車型,我們預計美國市場的營業收入將大幅增加。」

"For new models during the quarter, we announced our newest Class 4 addition to our Logistar series, the Logistar 450 ("LS450") model for sale and distribution in the US and global markets. The new LS450 has received California Air Resources Board Executive Order ("CARB") Certification and a Certificate of Conformity from the US Environmental Protection Agency ("EPA"). The LS450 is equipped with a 128Kwh battery capacity, offering an improved range compared to its predecessor model, the LS400. We also obtained a CARB Executive Order and a Certificate of Conformity from the EPA for the Logistar 300 model, a Class 3 delivery truck. We introduced the Deepstar 864 ("DS864"), a Class 8 drayage truck in October 2024, at our 'Cenntro Day 2024' at the Ontario Convention Center in Ontario, California. Lastly, we recently announced that Avantier Motors Corporation, our wholly owned subsidiary, launched two new electric vehicle models tailored for the European market following the strong reception of the Avantier C; the Avantier Ex, a mini electric commercial vehicle, and the Avantier Commuter, an entry-level electric passenger car. Both models join Avantier's existing product line as the company continues its mission to revolutionize urban mobility through innovative, sustainable electric vehicles.

「關於本季度的新車型,我們宣佈向美國和全球市場銷售我們Logistar系列的最新Class 4產品——Logistar 450(LS450)型號。新的LS450已獲得加利福尼亞空氣資源局("CARB")的執照認證以及美國環境保護署("EPA")的符合性證書。LS450配備了128Kwh的電池容量,相比前一代LS400型號,提供了更長的續航里程。此外,我們還爲Logistar 300型號,一款Class 3送貨卡車,獲得了CARB執照和EPA符合性證書。我們於2024年10月在加州安大略的安大略會議中心舉辦了「Cenntro Day 2024」,推出了一款Class 8拖運卡車Deepstar 864("DS864")。最後,我們最近宣佈,我們的全資子公司Avantier Motors Corporation推出了兩款針對歐洲市場定製的新電動車型,這是作爲Avantier C獲得熱烈歡迎後的延續:Avantier Ex,一款迷你電動商用車,以及Avantier Commuter,一款入門級電動乘用車。這兩款車型將加入Avantier現有產品線,公司將繼續通過創新、可持續的電動車型改變城市交通流動。」

"At our California-based electric commercial vehicles ("ECVs") production and distribution assembly facility in Ontario, CA, we are now producing the Metro, LS400, LS450 and LS300, with full-scale production capabilities for these and future models. As of October 2024, the facility has assembled and delivered over 150 vehicles to customers in the North American west coast. With the ramp-up of this facility, we are increasing vehicle delivery efficiency as we continue to expand sales in North America's west coast market.

在我們位於加州安大略市的電動商用車("ECVs")生產和分銷裝配設施,我們現在正在生產Metro,LS400,LS450和LS300,並且具有這些和未來車型的大規模生產能力。截至2024年10月,該設施已經組裝和交付超過150輛車輛給北美西海岸的客戶。隨着該設施的逐步擴大,我們正在提高車輛交付效率,並在繼續擴大北美西海岸市場銷售的同時。

"Looking ahead, we are diligently working to diversify our portfolio and develop new vehicle models that align with market demands, and keep pace with new regulations, technologies and features. We are focused on expanding our geographic footprint for production, distribution, and service infrastructure, especially in the US market. Taken together, we believe our strategy is positioning us to become a significant presence in commercial EV sales and production," concluded Mr. Wang.

展望未來,我們正在努力多元化我們的產品組合,並開發符合市場需求的新型車型,並與新規定、技術和特性保持同步。我們專注於擴大生產、分銷和服務基礎設施的地理覆蓋範圍,尤其是在美國市場。綜合而言,我們相信我們的策略正在讓我們在商用電動車銷售和生產領域成爲一個重要存在。"王先生總結道。

Third Quarter 2024 Financial Results

2024年第三季度財務結果

Net Revenue

淨收入

Net revenues for the three months ended September 30, 2024 were approximately $16.7 million, an increase of 190% from approximately $5.8 million for the three months ended September 30, 2023. The increase was primarily due to an increase in vehicle sales, spare parts sales, and sales of iChassis.

2024年9月30日結束的三個月的淨營業收入約爲1670萬美元,較2023年9月30日結束的三個月的約580萬美元增長190%。增長主要是由於車輛銷售、備件銷售和iChassis銷售的增加。

Gross Profit

毛利潤

Gross Profit for the three months ended September 30, 2024 was approximately $4.0 million, an increase of approximately $3.3 million from approximately $0.7 million of gross profit for the three months ended September 30, 2023. For the three months ended September 30, 2024 and 2023, our overall gross margin was approximately 24.2% and 12.4%, respectively. Our gross margin of vehicle sales for the three months ended September 30, 2024 and 2023 was 23.5% and 15.7%, respectively. The increase of our overall gross profit was mainly caused by an increase in the gross profit of our vehicle sales and spare-part sales of approximately $6.8 million and $0.5 million, respectively, offset by the increase in the inventory write-down of approximately $4.0 million.

2024年9月30日結束的三個月的毛利潤約爲400萬美元,較2023年9月30日結束的三個月的毛利潤約70萬美元增長約330萬美元。截至2024年9月30日和2023年9月30日結束的三個月,我們的總體毛利率分別約爲24.2%和12.4%。我們2024年9月30日和2023年9月30日結束的三個月車輛銷售的毛利率分別爲23.5%和15.7%。我們總體毛利潤的增加主要是由車輛銷售的毛利潤和備件銷售的約680萬美元和50萬美元的增加引起的,部分抵消了約400萬美元的存貨跌價的增加。

Operating Expenses

營業費用

Total operating expenses were approximately $14.4 million in the third quarter of 2024, compared to $13.3 million in the third quarter of 2023.

2024年第三季度的總營業費用約爲1440萬美元,而2023年第三季度爲1330萬美元。

Selling and marketing expenses for the three months ended September 30, 2024, were approximately $5.0 million, an increase of approximately $2.4 million or approximately 91.4% from approximately $2.6 million for the three months ended September 30, 2023. The increase in selling and marketing expenses was primarily attributed to the increase in marketing expenses and marketing related professional fee of approximately $2.3 million and $0.3 million, respectively, offset by a decrease in freight of approximately $0.2 million.

2024年9月30日結束的三個月內,銷售和市場營銷費用約爲500萬美元,比2013年9月30日結束的三個月的260萬美元增加了約240萬美元,增幅約91.4%。銷售和市場營銷費用的增加主要歸因於市場營銷費用的增加和約230萬美元和30萬美元的市場相關專業費用,分別抵消了大約20萬美元的運費減少。

General and administrative expenses for the three months ended September 30, 2024 were approximately $7.9 million, a decrease of approximately $1.1 million or approximately 12.5% from approximately $9.1 million for the three months ended September 30, 2023. The decrease in general and administrative expenses in 2024 was primarily attributed to a decrease in share-based compensation, legal and professional fee and salary, lease ROU amortization and social insurance of $1.1 million, $0.6 million, $0.1 million and $0.2 million, respectively, offset by the increase in leasehold improvement depreciation, rental expense and others of approximately $0.3 million, $0.2 million and $0.4 million, respectively, the increase in others was mainly caused by the increase in fees related to garage liability insurance.

2024年9月30日結束的三個月內,一般和管理費用約爲790萬美元,比2013年9月30日結束的三個月的910萬美元減少約110萬美元,降幅約12.5%。2024年一般和管理費用的減少主要歸因於股權報酬、法律和專業費用、薪酬、租賃ROU攤銷以及社會保險的減少分別爲110萬美元、60萬美元、10萬美元和20萬美元,抵消了租賃改良折舊、租金支出和其他支出分別增加約30萬美元、20萬美元和40萬美元,其他支出的增加主要是由於車庫責任保險費用相關費用的增加。

Research and development expenses for the three months ended September 30, 2024 were approximately $1.5 million, a decrease of approximately $0.2 million or approximately 9.7% from approximately $1.6 million for the three months ended September 30, 2023. The decrease in research and development expenses in 2024 was primarily attributed to the decrease in design and development expenditures, share-based compensations and others of approximately $0.06 million, $0.09 million and $0.06 million, respectively.

2024年9月30日結束的三個月內,研發費用約爲150萬美元,比2013年9月30日結束的三個月的160萬美元減少約20萬美元,降幅約9.7%。2024年研發費用的減少主要歸因於設計和開發支出、股權報酬和其他支出分別減少約6萬美元、9萬美元和6萬美元。

Net Loss

淨虧損

Net loss was approximately $9.0 million in the third quarter of 2024, compared with net loss of $16.1 million in the third quarter of 2023.

2024年第三季度淨虧損約爲900萬美元,而2013年第三季度爲1610萬美元淨虧損。

Adjusted EBITDA

調整後的EBITDA

Adjusted EBITDA was approximately ($7.5) million in the third quarter of 2024, compared with Adjusted EBITDA of ($12.1) million in the third quarter of 2023.

2024年第三季度調整後的EBITDA約爲($7.5)百萬美元,而2023年第三季度的調整後EBITDA爲($12.1)百萬美元。

Nine Months 2024 Financial Results

2024年九個月財務業績

Net Revenue

淨收入

Net revenues for the nine months ended September 30, 2024 were approximately $28.4 million, an increase of approximately $15.0 million or 111.2% from approximately $13.5 million for the nine months ended September 30, 2023. The increase was primarily due to an increase in vehicle sales, spare parts sales, and sales of iChassis.

截至2024年9月30日的九個月淨收入約爲$2840萬,較2023年9月30日的九個月約$1350萬增加約$1500萬,增幅達到111.2%。增長主要是由於汽車銷售、備件銷售和iChassis銷售增加所致。

Gross Profit

毛利潤

Gross Profit for the nine months ended September 30, 2024 was approximately $5.3 million, an increase of approximately $3.2 million from approximately $2.1 million of gross loss for the nine months ended September 30, 2023. For the nine months ended September 30, 2024 and 2023, our overall gross margin was approximately 18.6% and 15.3%, respectively. Our gross margin of vehicle sales for the nine months ended September 30, 2024 and 2023 was 19.2% and 16.3%, respectively. The increase of our overall gross profit was mainly caused by an increase in the gross profit of our vehicle sales and spare-part sales of approximately $8.5 million and $0.4 million, respectively, offset by the increase in the inventory write-down of approximately $5.7 million.

截至2024年9月30日的九個月毛利潤約爲$530萬,比2023年9月30日的九個月毛虧$210萬增加約$320萬。2024年9月30日和2023年9月30日的整體毛利率分別約爲18.6%和15.3%。截至2024年9月30日的九個月車輛銷售毛利率爲19.2%,2023年爲16.3%。我們整體毛利潤增長主要是由於車輛銷售毛利潤和備件銷售毛利潤分別增加約$850萬和$40萬,抵消了庫存減值約$570萬的增加。

Operating Expenses

營業費用

Total operating expenses were approximately $33.9 million for the nine months ended September 30, 2024, compared with $38.3 million in the nine months ended September 30, 2023.

截至2024年9月30日的九個月總營業費用約爲$3390萬,而2023年9月30日的九個月爲$3830萬。

Selling and marketing expenses for the nine months ended September 30, 2024 were approximately $7.7 million, an increase of approximately $0.4 million or approximately 5.7% from approximately $7.2 million for the nine months ended September 30, 2023. The increase in selling and marketing expenses in 2024 was primarily attributed to the increase in marketing expenses and marketing related professional fee of approximately $1.7 million and $0.7 million, respectively, offset by the decrease in salary expense, freight and share-based compensations of approximately $1.0 million, $0.6 million and $0.4 million, respectively.

2024年9月30日止九個月的銷售和營銷費用約爲770萬美元,比2023年9月30日止九個月的約720萬美元增加約40萬美元,增長約5.7%。2024年銷售和營銷費用的增加主要歸因於約170萬美元和70萬美元的市場營銷費用和市場營銷相關專業費用增加,分別抵消了約100萬美元、60萬美元和40萬美元的工資支出、運費和股份補償下降。

General and administrative expenses for the nine months ended September 30, 2024 were approximately $21.9 million, a decrease of approximately $3.8 million or approximately 14.7% from approximately $25.7 million for the nine months ended September 30, 2023. The decrease in general and administrative expenses in 2024 was primarily attributed to a decrease in legal and professional fees, office expenses and share-based compensations of approximately $2.1 million, $1.7 million and $1.5 million, respectively, offset by the increase in salary and social insurance expense, lease ROU amortization, amortization, leasehold improvement depreciation and others of approximately $0.7 million, $0.3 million, $0.2 million, $0.3 million and $0.1 million, respectively.

2024年9月30日止九個月的一般和行政費用約爲2190萬美元,比2023年9月30日止九個月的約2570萬美元減少約380萬美元,降幅約爲14.7%。2024年一般和行政費用的減少主要歸因於約210萬美元、約170萬美元和約150萬美元的法律和專業費用、辦公費用和股份補償下降,分別抵消了約70萬美元、約30萬美元、約20萬美元、約30萬美元和約10萬美元的工資和社會保險支出、租賃ROU攤銷、攤銷、租賃改良折舊和其他費用增加。

Research and development expenses for the nine months ended September 30, 2024 were approximately $4.3 million, a decrease of approximately $1.1 million or approximately 19.7% from approximately $5.3 million for the nine months ended September 30, 2023. The decrease in research and development expenses in 2024 was primarily attributed to the decrease in design and testing material expenditures of approximately $1.3 million, offset by the increase in salary expense of approximately $0.4 million.

2024年9月30日止九個月的研發費用約爲430萬美元,比2023年9月30日止九個月的約530萬美元減少約110萬美元,降幅約爲19.7%。2024年研發費用的減少主要歸因於約130萬美元的設計和測試材料支出減少,抵消了約40萬美元的工資支出增加。

Net Loss

淨虧損

Net loss was approximately $27.4 million in the nine months ended September 30, 2024, compared with net loss of $41.3 million in the nine months ended September 30, 2023.

2024年9月30日止九個月的淨虧損約爲2740萬美元,而2023年9月30日止九個月的淨虧損爲4130萬美元。

Balance Sheet

資產負債表:

Cash and cash equivalents were approximately $21.8 million as of September 30, 2024, compared with $29.4 million as of December 31, 2023.

截至2024年9月30日,現金及現金等價物約爲2180萬美元,相比於2023年12月31日的2940萬美元。

Adjusted EBITDA

調整後的EBITDA

Adjusted EBITDA was approximately ($23.1) million in the nine months ended September 30, 2024, compared with Adjusted EBITDA of $(33.9) million in the nine months ended September 30, 2023.

2024年9月30日結束的九個月內,調整後的EBITDA約爲(23.1)百萬美元,而2023年9月30日結束的九個月內調整後的EBITDA爲(33.9)百萬美元。

We define Adjusted EBITDA as net income (or net loss) before net interest expense, income tax expense, depreciation and amortization as further adjusted to exclude the impact of stock-based compensation expense and other non-recurring expenses including expenses related to TME Acquisition, expenses related to one-off payment inherited from the original Naked Brand Group, impairment of goodwill, convertible bond issuance fee, loss on redemption of convertible promissory notes, loss on exercise of warrants, and change in fair value of convertible promissory notes and derivative liability. We present Adjusted EBITDA because we consider it to be an important supplemental measure of our performance and believe it is frequently used by securities analysts, investors, and other interested parties in the evaluation of companies in our industry. Management believes that investors' understanding of our performance is enhanced by including this non-GAAP financial measure as a reasonable basis for comparing our ongoing results of operations.

我們將調整後EBITDA定義爲稅息折舊和攤銷前的淨利潤(或淨虧損),並進一步調整以排除股權激勵費用和其他非經常性費用,包括與TME收購相關的費用、繼承自原裸品集團的一次性付款相關的費用、商譽減值、可轉換債券發行費、可轉換可兌換票據償還損失、認購權證行權損失和可轉換可兌換票據和衍生負債公允價值變動。我們提供調整後的EBITDA,因爲我們認爲它是評估我們產業中的公司的性能的重要補充指標,被證券分析師、投資者和其他利益相關方廣泛使用。管理層認爲,包括這一非依據通用會計準則的財務指標有助於提升投資者對我們績效的理解,爲比較我們持續的營運結果提供合理依據。

US-GAAP NET INCOME (LOSS) TO ADJUSTED EBITDA RECONCILIATION

Three Months ended September
30,

Nine Months ended
September 30,

2024

2023

2024

2023

(Expressed in U.S. Dollars)

(Unaudited)

(Unaudited)

Net loss

$

(8,981,587)

$

(16,103,199)

$

(27,405,605)

$

(41,294,342)

Interest expense, net

34,198

84,573

58,744

137,726

Income tax expense

(12,434)

(384)

(47,149)

25,084

Depreciation and amortization

630,270

425,217

1,605,514

1,213,489

Share-based compensation expense

870,094

2,154,710

2,643,214

4,565,000

Loss on redemption of convertible promissory notes

-

(966)

-

(865)

Loss on exercise of warrants

(910)

1,134

(910)

228,749

Change in fair value of convertible promissory notes and derivative liability

6,724

(15,143)

(1,808)

(88,568)

Loss from acquisition of Antric

-

1,316,772

-

1,316,772

Adjusted EBITDA

$

(7,453,645)

$

(12,137,286)

$

(23,148,000)

$

(33,896,955)

美國通用會計準則淨利潤(損失)調整爲調整後的EBITDA對賬

截至9月份的三個月
30,

截至九個月
9月30日,

2024

2023

2024

2023

(以美元表示)

(未經審計)

(未經審計)

淨損失

$

(8,981,587)

$

(16,103,199)

$

(27,405,605)

$

(41,294,342)

利息費用,淨額

數量爲34,198

84,573

58,744

137,726

所得稅費用

(12,434)

(384)

(47,149)

25,084

折舊和攤銷

630,270

425,217

1,605,514

1,213,489

基於股份的報酬支出

870,094

2,154,710

2,643,214

4,565,000

贖回可轉換票據的損失

-

(966)

-

(865)

行權權證損失

(910)

1,134

(910)

228,749

可轉換應付票據和衍生責任公允價值變動

6,724

(15,143)

(1,808)

(88,568)

Antric收購虧損

-

1,316,772

-

1,316,772

調整後的EBITDA

$

(7,453,645)

$

(12,137,286)

$

(23,148,000)

$

(33,896,955)

Represents a non-GAAP financial measure.

代表着一個非GAAP財務指標。

About Cenntro

關於Cenntro

Cenntro (NASDAQ: CENN) is a leading maker and provider of electric commercial vehicles ("ECVs"). Cenntro's purpose-built ECVs are designed to serve a variety of commercial applications inclusive of its line of class 1 to class 8 trucks. Cenntro is building a globalized supply-chain, as well as the manufacturing, distribution, and service capabilities for its innovative and reliable products. Cenntro continues to evolve its products capabilities through advanced battery, powertrain, and smart driving technologies. For more information, please visit Cenntro's website at: .

Cenntro (納斯達克: CENN) 是新能源車行業領先的製造商和供應商。Cenntro專門設計的新能源車旨在滿足各種商業應用需求,包括其一系列的1至8類卡車。Cenntro正在構建全球化的供應鏈,併爲其創新可靠的產品建立製造、分銷和服務能力。Cenntro通過先進的電池、動力總成和智能駕駛技術不斷提升其產品能力。欲了解更多信息,請訪問Cenntro的網站:

Forward-Looking Statements

前瞻性聲明

This communication contains "forward-looking statements" within the meaning of the safe harbor provisions of the U.S. Private Securities Litigation Reform Act of 1995. Forward-looking statements include all statements that are not historical facts. Such statements may be, but need not be, identified by words such as "may," "believe," "anticipate," "could," "should," "intend," "plan," "will," "aim(s)," "can," "would," "expect(s)," "estimate(s)," "project(s)," "forecast(s)," "positioned," "approximately," "potential," "goal," "strategy," "outlook" and similar expressions. Examples of forward-looking statements include, among other things, statements regarding assembly and distribution capabilities, decentralized production, and fully digitalized autonomous driving solutions. All such forward-looking statements are based on management's current beliefs, expectations and assumptions, and are subject to risks, uncertainties and other factors that could cause actual results to differ materially from the results expressed or implied in this communication. For additional risks and uncertainties that could impact Cenntro's forward-looking statements, please see disclosures contained in Cenntro's public filings with the SEC, including the "Risk Factors" in Cenntro's Annual Report on Form 10-K filed with the Securities and Exchange Commission on April 1, 2024 and which may be viewed at www.sec.gov.

本通信包含根據美國1995年《證券訴訟改革法》安全港規定的「前瞻性陳述」。 前瞻性聲明包括所有非歷史事實陳述。 這類聲明可能被識別出來,但無需被識別,例如「可能」、「認爲」、「預計」、『』可能『』、『』應該『』、『』打算『』、『』計劃『』、『』將『』、「宗旨」、「能」、「會」、「期望」、「估計」、「項目」、「預測」、「定位」、「大約」、「潛在」、「目標」、「策略」、「展望」等。 前瞻性聲明的示例包括關於裝配和分銷能力、分散式生產和完全數字化的自動駕駛解決方案的聲明。 所有此類前瞻性聲明都基於管理層的當前信念、預期和假設,並且受到風險、不確定性和其他可能導致實際結果與本通信中表達或暗示的結果有所不同的因素的影響。 有關可能影響Cenntro前瞻性聲明的其他風險和不確定性,請參見Cenntro向SEC提交的公開文件中的披露,包括Cenntro於2024年4月1日向證券交易委員會提交的《年度報告》中的「風險因素」,並可在www.sec.gov中查看。

CENNTRO INC.

UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS

(Expressed in U.S. dollars, except for the number of shares)

September
30,
2024

December 31,
2023

(Unaudited)

ASSETS

Current assets:

Cash and cash equivalents

$

21,822,485

$

29,375,727

Restricted cash

1,009,263

196,170

Short-term investment

9,647

4,236,588

Accounts receivable, net

4,556,857

6,530,801

Inventories

35,882,436

43,909,564

Prepayment and other current assets

20,971,578

20,391,150

Amounts due from related parties - current

524,892

287,439

Total current assets

84,777,158

104,927,439

Non-current assets:

Long-term investment, net

4,078,386

4,685,984

Investment in equity securities

26,341,901

26,158,474

Property, plant and equipment, net

20,175,445

20,401,521

Goodwill

225,171

223,494

Intangible assets, net

6,623,871

6,873,781

Right-of-use assets

16,049,893

20,039,625

Other non-current assets, net

1,563,361

2,227,672

Total non-current assets

75,058,028

80,610,551

Total Assets

$

159,835,186

$

185,537,990

LIABILITIES AND EQUITY

LIABILITIES

Current liabilities:

Accounts payable

$

6,164,060

$

6,797,852

Short-term loans and current portion of long-term loans

262,836

-

Accrued expenses and other current liabilities

5,349,282

4,263,887

Contractual liabilities

4,958,315

3,394,044

Operating lease liabilities, current

4,605,336

4,741,599

Convertible promissory notes

9,952,000

9,956,000

Contingent liabilities

45,333

26,669

Deferred government grant, current

104,076

108,717

Amounts due to related parties

-

10,468

Total current liabilities

31,441,238

29,299,236

Non-current liabilities:

Long-term loans

361,400

-

Contingent liabilities non-current

213,326

230,063

Deferred tax liabilities

196,887

228,086

Deferred government grant, non-current

1,875,786

1,929,733

Derivative liability - investor warrant

12,141,241

12,189,508

Derivative liability - placement agent warrant

3,457,052

3,456,578

Operating lease liabilities, non-current

13,288,324

16,339,619

Total non-current liabilities

31,534,016

34,373,587

Total Liabilities

$

62,975,254

$

63,672,823

Commitments and contingencies

EQUITY

Common stock (No par value;30,866,614 and 30,828,778 shares issued and outstanding as of September 30, 2024 and December 31, 2023, respectively)

-

-

Additional paid in capital

405,029,683

402,337,393

Accumulated deficit

(301,408,251)

(274,023,501)

Accumulated other comprehensive loss

(6,913,396)

(6,444,485)

Total equity attributable to shareholders

96,708,036

121,869,407

Non-controlling interests

151,896

(4,240)

Total Equity

$

96,859,932

$

121,865,167

Total Liabilities and Equity

$

159,835,186

$

185,537,990

CENNTRO 公司。

未經審計的簡明合併資產負債表

(以美元表示,股份數量除外)

九月
30,
2024

12月31日,
2023

(未經審計)

資產

流動資產:

現金及現金等價物

$

21,822,485

$

29,375,727

限制性現金

1,009,263

196,170

開空投資

9,647

4,236,588

應收賬款淨額

4,556,857

6,530,801

存貨

35,882,436

43,909,564

預付款和其他流動資產

20,971,578

20,391,150

與有關方款項 - 流動資產

524,892

287,439

總流動資產

84,777,158

104,927,439

非流動資產:

長期投資,淨額

4,078,386

4,685,984

股權投資

26,341,901

26,158,474

物業、廠房和設備,淨值

20,175,445

20,401,521

商譽

225,171

223,494

無形資產-淨額

6,623,871

6,873,781

使用權資產

16,049,893

20,039,625

其他非流動資產,淨額

1,563,361

2,227,672

總非流動資產

75,058,028

80,610,551

總資產

$

159,835,186

$

185,537,990

負債和股東權益

負債

流動負債:

應付賬款

$

6,164,060

$

6,797,852

短期貸款和長期貸款的流動部分

262,836

-

應計費用及其他流動負債

5,349,282

4,263,887

合同負債

4,958,315

3,394,044

經營租賃負債,流動負債

4,605,336

4,741,599

可轉換的可轉換票據

9,952,000

9,956,000

或有債務

45,333

26,669

政府延緩補助,現行

104,076

108,717

到相關方款項

-

10,468,完全涉及限制性股票單位獎勵。截至2023年7月31日,未認可的非公開股票單位相關的「保留補償成本」爲

流動負債合計

31,441,238

29,299,236

非流動負債:

長期貸款

361,400

-

長期的或有負債

213,326

230,063

遞延稅款負債

196,887

228,086

長期未決政府補助

1,875,786

1,929,733

衍生負債-投資者認股權證

12,141,241

12,189,508

衍生負債-放置代理人認股權證

3,457,052

3,456,578

非流動經營租賃負債

13,288,324

16,339,619

所有非流動負債

31,534,016

34,373,587

總負債

$

62,975,254

$

63,672,823

承諾和 contingencies

股東權益

普通股 (無面值;截至2024年9月30日和2023年12月31日,已發行並流通股數量分別爲30,866,614股和30,828,778股)

-

-

股票認購應收款項。

405,029,683

402,337,393

累積赤字

(301,408,251)

(274,023,501)

累計其他綜合損失

(6,913,396)

(6,444,485)

歸屬於股東的普通股權益合計

96,708,036

121,869,407

非控股權益

151,896

(4,240)

總股本

$

96,859,932

$

121,865,167

總負債和股權

$

159,835,186

$

185,537,990

CENNTRO INC.

UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE LOSS

(Expressed in U.S. dollars, except for the number of shares)

For the Three Months Ended
September 30,

For the Nine Months Ended
September 30,

2024

2023

2024

2023

Net revenues

$

16,731,340

$

5,762,831

$

28,443,831

$

13,470,895

Cost of goods sold

(12,688,393)

(5,045,364)

(23,161,743)

(11,411,439)

Gross profit

4,042,947

717,467

5,282,088

2,059,456

OPERATING EXPENSES:

Selling and marketing expenses

(5,027,864)

(2,626,829)

(7,651,305)

(7,238,563)

General and administrative expenses

(7,934,755)

(9,071,910)

(21,945,891)

(25,715,387)

Research and development expenses

(1,476,684)

(1,634,796)

(4,292,153)

(5,347,785)

Total operating expenses

(14,439,303)

(13,333,535)

(33,889,349)

(38,301,735)

Loss from operations

(10,396,356)

(12,616,068)

(28,607,261)

(36,242,279)

OTHER EXPENSE:

Interest expense, net

(34,198)

(84,573)

(58,744)

(137,726)

Loss from long-term investment

(11,152)

(107,069)

(28,262)

(236,672)

Loss from acquisition of Antric Gmbh

-

(1,316,772)

-

(1,316,772)

Loss from acquisition of Hezhe

-

-

(149,872)

-

Impairment of long-term investment

-

(2,668)

-

(1,157,334)

Gain on redemption of convertible promissory notes

-

966

-

865

Gain/(Loss) on exercise of warrants

910

(1,134)

910

(228,749)

Change in fair value of convertible promissory notes and derivative liability

(6,724)

15,143

1,807

88,568

Change in fair value of equity securities

262,417

(1,879,593)

756,868

(1,166,125)

Foreign currency exchange gain (loss), net

1,838,505

(311,204)

1,108,826

(1,667,475)

(Loss)/ Gain from cross-currency swaps

(705)

-

882

-

Other (expense) income, net

(646,718)

199,389

(477,908)

794,441

Loss before income taxes

(8,994,021)

(16,103,583)

(27,452,754)

(41,269,258)

Income tax benefit (expense)

12,434

384

47,149

(25,084)

Net loss

(8,981,587)

(16,103,199)

(27,405,605)

(41,294,342)

Less: net loss attributable to non-controlling interests

(9,815)

(534)

(20,855)

(159,244)

Net loss attributable to the Company's shareholders

$

(8,971,772)

$

(16,102,665)

(27,384,750)

(41,135,098)

OTHER COMPREHENSIVE LOSS

Foreign currency translation adjustment

916,164

(931,345)

(461,126)

(3,419,038)

Total comprehensive loss

(8,065,423)

(17,034,544)

(27,866,731)

(44,713,380)

Less: total comprehensive loss attributable to non-controlling interests

(5,226)

(534)

(13,070)

(183,812)

Total comprehensive loss to the Company's shareholders

$

(8,060,197)

$

(17,034,010)

(27,853,661)

(44,529,568)

Weighted average number of shares outstanding, basic and diluted *

30,841,106

30,444,909

30,832,928

30,400,293

Loss per share, basic and diluted *

(0.29)

(0.53)

(0.89)

(1.35)

CENNTRO 公司。

未經審計的簡明合併利潤及綜合損失表

(以美元表示,股份數量除外)

截至三個月的情況
9月30日,

截至2023年九個月之前
9月30日,

2024

2023

2024

2023

淨收入

$

16,731,340

$

5,762,831

$

28,443,831

$

13,470,895

營業成本

(12,688,393)

(5,045,364)

(23,161,743)

(11,411,439)

毛利潤

4,042,947

717,467

5,282,088

2,059,456

營業費用:

銷售和市場費用

(5,027,864)

(2,626,829)

(7,651,305)

(7,238,563)

General and administrative expenses

(7,934,755)

(9,071,910)

(21,945,891)

(25,715,387)

Research and development expenses

(1,476,684)

(1,634,796)

(4,292,153)

(5,347,785)

總營業費用

(14,439,303)

(13,333,535)

(33,889,349)

(38,301,735)

營運虧損

(10,396,356)

(12,616,068)

(28,607,261)

(36,242,279)

其他費用:

利息費用,淨額

(34,198)

(84,573)

(58,744)

(137,726)

長期投資損失

(11,152)

(107,069)

(28,262)

(236,672)

收購Antric Gmbh 的損失

-

(1,316,772)

-

(1,316,772)

由收購赫哲造成的損失

-

-

(149,872)

-

長期投資減值損失

-

(2,668)

-

(1,157,334)

轉換可轉換票據時的收益

-

966

-

865

權證行使產生的盈虧

910

(1,134)

910

(228,749)

可轉換應付票據和衍生責任公允價值變動

(6,724)

15,143

1,807

88,568

股權證券公允價值變動

262,417

(1,879,593)

756,868

(1,166,125)

淨外匯收益(損失)

1,838,505

(311,204)

1,108,826

(1,667,475)

跨貨幣互換導致的(虧損)收益

(705)

-

882

-

其他(費用)收益,淨額

(646,718)

199,389

(477,908)

794,441

稅前損失

(8,994,021)

(16,103,583)

(27,452,754)

(41,269,258)

所得稅收益(費用)

12,434

384

47,149

(25,084)

淨損失

(8,981,587)

(16,103,199)

(27,405,605)

(41,294,342)

減:非控制權益淨虧損

(9,815)

(534)

(20,855)

(159,244)

歸屬於公司股東的淨虧損

$

(8,971,772)

$

(16,102,665)

(27,384,750)

(41,135,098)

其他綜合損失

外幣翻譯調整

916,164

(931,345)

(461,126)

(3,419,038)

綜合損失總額

(8,065,423)

(17,034,544)

(27,866,731)

(44,713,380)

減:歸屬於非控制權益的綜合損失

(5,226)

(534)

(13,070)

(183,812)

公司股東總綜合損失

$

(8,060,197)

$

(17,034,010)

(27,853,661)

(44,529,568)

基本和稀釋後的加權平均股本數 *

30,841,106

30,444,909

30,832,928

30,400,293

每股虧損,基本和稀釋*

(0.29)

(0.53)

(0.89)

(1.35)

CENNTRO INC.

UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(Expressed in U.S. dollars, except for the number of shares)

For the Nine Months Ended

September 30,

2024

2023

CASH FLOWS FROM OPERATING ACTIVITIES:

Net cash used in operating activities

$

(12,912,011)

$

(45,588,906)

CASH FLOWS FROM INVESTING ACTIVITIES:

Purchase of equity investment

-

(680,932)

Purchase of property, plant and equipment

(720,445)

(7,329,509)

Purchase of land use right and property

-

(2,183,430)

Purchase of other intangible assets

-

(7,502)

Acquisition of CAE's equity interests

-

(1,924,557)

Acquisition of Antric Gmbh's equity interests

-

(1)

Cash acquired from acquisition of Antric Gmbh

-

1,376

Net of cash acquired of 60% of Hezhe's equity interests

(355,400)

-

Purchase of short-term investment

(4,167,970)

-

Proceeds from short-term investment

8,431,348

-

Cash dividend received

55,573

-

Proceeds from disposal of property, plant and equipment

41,495

842

Loans provided to third parties

-

(790,000)

Proceeds from interest and redemption of equity securities investment

1,573,441

-

Net cash provided by (used in) investing activities

4,858,042

(12,913,713)

CASH FLOWS FROM FINANCING ACTIVITIES:

Proceeds from bank loans

662,836

-

Repayment of bank loans

(38,600)

(602,477)

Loans proceed from third parties

708,832

-

Repayment of loans to third parties

(90,000)

-

Redemption of convertible promissory notes

-

(47,534,119)

Net cash provided by (used in) financing activities

1,243,068

(48,136,596)

Effect of exchange rate changes on cash, cash equivalents and restricted cash

70,752

(2,614,204)

Net decrease in cash, cash equivalents and restricted cash

(6,740,149)

(109,253,419)

Cash, cash equivalents and restricted cash at beginning of period

29,571,897

154,096,801

Cash, cash equivalents and restricted cash at end of period

$

22,831,748

$

44,843,382

SUPPLEMENTAL DISCLOSURE OF CASH FLOW INFORMATION:

Interest paid

$

553,654

$

1,200,673

Income tax paid

$

-

$

4,829

SUPPLEMENTAL DISCLOSURE OF NON-CASH INVESTING AND FINANCING ACTIVITIES:

Convention from debt to equity interest of HW Electro Co., Ltd.

$

-

$

1,000,000

Cashless exercise of warrants

$

49,076

$

2,168,185

CENNTRO 公司。

未經審計的簡明合併現金流量表

(以美元表示,股份數量除外)

截至2023年九個月之前

9月30日,

2024

2023

經營活動產生的現金流量:

經營活動使用的淨現金流量

$

(12,912,011)

$

(45,588,906)

投資活動產生的現金流量:

)

-

(680,932)

購買固定資產和設備

(720,445)

(7,329,509)

購買土地使用權和房產

-

(2,183,430)

購買其他無形資產

-

(7,502)

收購CAE的股權

-

(1,924,557)

收購了Antric Gmbh的股權份額

-

(1)

從收購Antric Gmbh獲得的現金

-

1,376

淨現金收購Hezhe 60%的股權

(355,400)

-

(3,797,052)

(4,167,970)

-

短期投資收益

8,431,348

-

收到現金股息

55,573

-

處置固定資產收益

41,495

842

Loans provided to third parties

-

(790,000)

來自利息和贖回股權證券投資的收益

1,573,441

-

投資活動產生的淨現金流量

4,858,042

(12,913,713)

籌資活動產生的現金流量:

銀行貸款收到的款項

662,836

-

償還銀行貸款

(38,600)

(602,477)

貸款來自第三方

708,832

-

向第三方償還貸款

(90,000)

-

贖回可轉換票據

-

(47,534,119)

籌集資金的淨現金流量

1,243,068

(48,136,596)

匯率變動對現金、現金等價物及受限制資金的影響

70,752

(2,614,204)

現金、現金等價物和受限制現金淨減少額

(6,740,149)

(109,253,419)

期初現金、現金等價物及受限制的現金餘額

29,571,897

154,096,801

期末現金、現金等價物及受限制的現金餘額

$

22,831,748

$

44,843,382

現金流量信息補充披露:

支付利息

$

553,654

$

1,200,673

所繳納所得稅

$

-

$

4,829

非現金投資和籌資活動披露:

將HW Electro Co., Ltd.的債務轉爲股權權益。

$

-

$

1,000,000

無現金行權權證

$

49,076

$

2,168,185

View source version on businesswire.com:

在businesswire.com上查看源版本:

Investor Relations Contact:
Chris Tyson
MZ North America
CENN@mzgroup.us
949-491-8235

投資者關係聯繫人:
Chris Tyson
MZ北美
CENN@mzgroup.us
949-491-8235

Company Contact:
PR@cenntroauto.com
IR@cenntroauto.com

公司聯繫人:
PR@cenntroauto.com
IR@cenntroauto.com

Source: Cenntro Inc.

來源:Cenntro Inc。

譯文內容由第三人軟體翻譯。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
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