share_log

Canadian Spirit Resources Inc. Announces Second Quarter 2022 Financial Results and Operational Update

Canadian Spirit Resources Inc. Announces Second Quarter 2022 Financial Results and Operational Update

加拿大精神资源公司宣布2022年第二季度财务业绩和运营更新
GlobeNewswire ·  2022/08/25 20:10

CALGARY, Alberta, Aug. 25, 2022 (GLOBE NEWSWIRE) -- Canadian Spirit Resources Inc. ("CSRI" or the "Corporation") (TSXV:SPI) (OTCBB:CSPUF) announces the release of its interim financial results and Management Discussion and Analysis ("MD&A"), for the three and six month periods ended June 30, 2022.

阿尔伯塔省卡尔加里,2022年8月25日(环球通讯社)加拿大精神资源公司(“CSRI”或“公司”)(多伦多证券交易所股票代码:SPI)(场外交易:CSPUF)公布中期财务业绩及管理层讨论及分析(“MD&A“),截至2022年6月30日的三个月和六个月期间。

Second Quarter 2022
This news release summarizes information contained in the unaudited interim financial statements and MD&A for the three and six month periods ended June 30, 2022 and should not be considered a substitute for reading these full disclosure documents which are available on SEDAR at . The following summarizes certain selected financial data for the three and six months ended June 30, 2022:

2022年第二季度
本新闻稿汇总了截至2022年6月30日的三个月和六个月期间未经审计的中期财务报表和MD&A中包含的信息,不应被视为替代阅读这些完整的披露文件,这些文件可在SEDAR上查阅,网址为。以下是截至2022年6月30日的三个月和六个月的部分精选财务数据摘要:

(all amounts are presented in Canadian dollars, unless otherwise indicated)
  Three months
ended June 30,
Six months
ended June 30,
    2022     2021     2022     2021  
Natural gas sales $ -   $ -   $ -   $ -  
Operating recovery (costs)   (273,760 )   (105,687 )   (315,210 )   (141,159 )
Operating netback $ (273,760 ) $ (105,687 ) $ (315,210 ) $ (141,159 )
Other income and gains   21,250     44     151,925     87  
Other Expenses   (290,067 )   (285,477 )   (601,315 )   (484,582 )
Net comprehensive loss for the period $ (542,577 ) $ (391,120 ) $ (764,600 ) $ (625,654 )
(除非另有说明,否则所有金额均以加元列示)
三个月
截至6月30日,
六个月
截至6月30日,
2022 2021 2022 2021
天然气销售 $ - $ - $ - $ -
运营回收(成本) (273,760 ) (105,687 ) (315,210 ) (141,159 )
运营净额回扣 $ (273,760 ) $ (105,687 ) $ (315,210 ) $ (141,159 )
其他收入和收益 21,250 44 151,925 87
其他费用 (290,067 ) (285,477 ) (601,315 ) (484,582 )
当期综合亏损净额 $ (542,577 ) $ (391,120 ) $ (764,600 ) $ (625,654 )

The Corporation's loss and comprehensive loss for the six months ended June 30, 2022 was $764,600 (June 30, 2021 - $625,654). When compared to six months ended June 30, 2021, there is an increase in loss of $138,946 resulting primarily from the following:

截至2022年6月30日的6个月,公司的亏损和综合亏损为764,600美元(2021年6月30日-625,654美元)。与截至2021年6月30日的6个月相比,损失增加138 946美元,主要原因如下:

  • Operating costs increase of $174,051 to $315,210 (June 30, 2021 – $141,159) resulting from the recommissioning of the Farrell Creek gas plant and associated facilities required to produce the existing joint venture Montney wells;
  • Professional fees increase of $53,225 to $132,471 (2021 – $79,246) mostly due to higher audit costs;
  • Investor relations and filing fees, and Insurance costs increase of $18,108 to $64,727 (2021 - $46,619);
  • Share-based compensation of $71,029 (2021 – $41,029) increase of $30,000 due to the timing of vesting of the stock options.
  • 业务费用增加174 051美元,增至315 210美元(2021年6月30日--141 159美元),原因是重新启用Farrell Creek天然气厂和生产现有合资企业蒙特尼油井所需的相关设施;
  • 专业费用增加53 225美元至132 471美元(2021-79 246美元),主要原因是审计费用增加;
  • 投资者关系和申请费以及保险费增加18 108美元至64 727美元(2021-46 619美元);
  • 基于股票的薪酬71,029美元(2021-41,029美元)因股票期权的归属时间而增加30,000美元。

Offsetting these cost increases was the Gain on sale of property, plant and equipment for the proceeds of $147,750 on the Farrell Creek Gething fully depreciated idle equipment.

这些成本的增加被出售财产、厂房和设备的收益所抵消,这些收益是在Farrell Creek Gething完全折旧的闲置设备上获得的147,750美元。

    As at     As at  
    June 30,     December 31,  
    2022     2021  
Working Capital:    
Current assets $ 1,768,992   $ 1,354,860  
Current liabilities   (753,761 )   (445,368 )
Working capital   1,015,231     909,492  
Total assets $ 39,696,644   $ 38,997,891  
Shareholders' equity   37,006,021   $ 36,649,592  
Number of common shares outstanding   268,177,583     248,177,583  
截至 截至
6月30日, 十二月三十一日,
2022 2021
营运资金:
流动资产 $ 1,768,992 $ 1,354,860
流动负债 (753,761 ) (445,368 )
营运资本 1,015,231 909,492
总资产 $ 39,696,644 $ 38,997,891
股东权益 37,006,021 $ 36,649,592
已发行普通股数量 268,177,583 248,177,583

OPERATIONAL UPDATE

运营更新

The Corporation and its joint venture partner are pleased to announce the completion of the field work required to reactivate the Farrell Creek natural gas processing facility and associated Montney wells. The Corporation anticipates a final field start up in late August, or early September, of this year, pending acceptable natural gas prices.

本公司及其合资伙伴高兴地宣布,重新启动Farrell Creek天然气处理设施和相关的蒙特尼油井所需的实地工作已经完成。该公司预计,在可接受的天然气价格之前,最终油田将于今年8月底或9月初投产。

STOCK OPTION GRANT

股票期权授予

The Corporation granted to certain directors and executive officers of the Corporation incentive stock options to purchase a total of up to an aggregate 2,600,000 common shares in the capital of the Corporation pursuant to the terms of the Corporation's Stock Option Plan. The stock options vest as to one-quarter immediately, with one-quarter vesting on each of the dates 6 months, 12 months and 18 months subsequent to the effective date of the grant. All the stock options have a term of five years and may be exercised at a price of $0.105 per share. The grant of options will result in an aggregate total of 8,750,000 stock options issued and outstanding at a weighted average exercise price of $0.09 per stock option.

本公司根据本公司购股权计划的条款,向本公司若干董事及行政人员授予奖励股票期权,以购买合共最多2,600,000股本公司股本中的普通股。该等股票期权于授出生效日期后6个月、12个月及18个月各归属1/4个季度。所有股票期权的期限均为五年,可按每股0.105美元的价格行使。授予期权将导致总计8,750,000份已发行和未偿还的股票期权,加权平均行权价为每股股票期权0.09美元。

CSRI is a natural resource company focusing on the identification and development of opportunities in the unconventional natural gas sector of the energy industry.

CSRI是一家自然资源公司,专注于寻找和开发能源行业非常规天然气领域的机会。

Information regarding CSRI is available on SEDAR at or the Corporation's website at .

有关CSRI的信息可在SEDAR或公司网站上获得。

On behalf of the Board of Directors
CANADIAN SPIRIT RESOURCES INC.

我谨代表董事会
加拿大 精神 资源 公司

"Louisa DeCarlo"

“路易莎 德卡洛“

President and Chief Executive Officer

总裁与首席执行官

For further information, please contact: Canadian Spirit Resources Inc.
Telephone (403) 618-2113
Louisa DeCarlo (louisa@danrichresources.com)

欲了解更多信息,请联系:加拿大精神资源公司。
电话:(403)618-2113
路易莎·德卡洛(Louisa@danrichresource ces.com)

Forward-looking Information Cautionary Statement

前瞻性 信息 警示 陈述式

This press release contains forward-looking statements. More particularly, this press release contains statements concerning the anticipated reactivation of the Farrell Creek natural gas processing facility and associated Montney wells by the Corporation. The forward-looking statements in this press release are based on certain expectations and assumptions made by the Corporation. Although the Corporation believes that the expectations and assumptions on which the forward-looking statements are based are reasonable, undue reliance should not be placed on the forward-looking statements because the Corporation can give no assurance that they will prove to be correct. Since forward-looking statements address future events and conditions, by their very nature they involve inherent risks and uncertainties. Actual results could differ materially from those currently anticipated due to a number of factors and risks. These include, but are not limited to, operational risks and risks associated with the volatility in the price of natural gas. Forward-looking statements are based on estimates and opinions of management of the Corporation at the time the statements are presented. The Corporation may, as considered necessary in the circumstances, update or revise such forward-looking statements, whether as a result of new information, future events or otherwise, but the Corporation undertakes no obligation to update or revise any forward-looking statements, except as required by applicable securities laws.

本新闻稿包含前瞻性陈述。更具体地说,本新闻稿包含有关该公司预计将重新启动Farrell Creek天然气处理设施和相关的蒙特尼油井的声明。本新闻稿中的前瞻性陈述是基于公司做出的某些预期和假设。尽管本公司认为前瞻性陈述所依据的预期和假设是合理的,但不应过度依赖前瞻性陈述,因为本公司不能保证它们将被证明是正确的。由于前瞻性陈述涉及未来的事件和情况,它们本身就具有内在的风险和不确定性。由于一些因素和风险,实际结果可能与目前预期的结果大不相同。这些风险包括但不限于经营风险和与天然气价格波动相关的风险。前瞻性陈述以陈述时公司管理层的估计和意见为基础。公司可根据情况认为必要时,根据新信息、未来事件或其他情况更新或修订此类前瞻性陈述,但公司不承担更新或修订任何前瞻性陈述的义务,除非适用的证券法要求。

NEITHER THE TSX VENTURE EXCHANGE NOR ITS REGULATION SERVICES PROVIDER (AS THAT TERM IS DEFINED IN THE POLICIES OF THE TSX VENTURE EXCHANGE) ACCEPTS RESPONSIBILITY FOR THE ADEQUACY OR ACCURACY OF THIS NEWS RELEASE

多伦多证券交易所创业板交易所及其监管服务提供商(该术语在多伦多证券交易所创业板交易所的政策中定义)均不对本新闻稿的充分性或准确性承担责任


声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
    抢沙发