Elvictor Group Inc. Third Quarter 2022 Financial Results and Business Outlook
Elvictor Group Inc. Third Quarter 2022 Financial Results and Business Outlook
NEW YORK, Nov. 16, 2022 (GLOBE NEWSWIRE) -- Elvictor Group, Inc. (OTC Pink: ELVG) ("Elvictor" or the "Company") announced today that on November 15, 2022, the Company filed with the U.S. Securities and Exchange Commission ("SEC") its Quarterly Report on Form 10-Q, which includes the Company's financial and operating results for the third quarter ended September 30, 2022 (the "Form 10-Q"). The Company's financial statements for the three and nine month periods ended September 30, 2022, are available on the Company's website at and can also be found in the Company's Form 10-Q which can be accessed on the SEC's website at www.sec.gov.
纽约,2022年11月16日(环球通讯社)--Elvictor Group,Inc.(场外交易代码:ELVG)(以下简称“Elvictor”或“公司”)今天宣布,公司已于2022年11月15日向美国证券交易委员会(“美国证券交易委员会”)提交了Form 10-Q季度报告,其中包括公司截至2022年9月30日的第三季度财务和经营业绩(“Form 10-Q”)。公司截至2022年9月30日的三个月和九个月的财务报表可在公司网站上查阅,也可以在公司的10-Q表格中查阅,该表格可在美国证券交易委员会的网站www.sec.gov上查阅。
Konstantinos Galanakis, Chief Executive Officer of Elvictor stated, "Elvictor achieved an increase of 8.9% and 50.8% in total revenue and gross profit, respectively, for the third quarter of 2022 compared to the same period in 2021, mostly due to the increased demand for our crew management services."
Elvictor首席执行官Konstantinos Galanakis表示与2021年同期相比,Elvictor在2022年第三季度实现了总收入和毛利润分别增长8.9%和50.8%,这主要是由于对我们船员管理服务的需求增加。
"Especially in the current environment, crew management services represent a major growth opportunity for our company. Addressing the crew shortage issues the shipping industry is experiencing, we are working to build new pools of seafarers with our cloud-based system by accelerating promotions, cadetship programs, and the employment of more cadets onboard. Earlier this year, we announced that we are designing an upgrade to our cloud-based system to elevate logistics intelligence, allowing us to handle growth and recruitment volumes more efficiently."
“尤其是在目前的环境下,船员管理服务对我们公司来说是一个重要的增长机会。为了解决航运业正在经历的船员短缺问题,我们正在努力利用我们的云系统来建立新的海员队伍,方法是加快晋升、见习计划和雇用更多的学员。今年早些时候,我们宣布正在设计基于云的系统的升级,以提升物流智能,使我们能够更高效地处理增长和招聘数量。”
"As a growth company, we are excited and well-positioned to take advantage of the opportunities arising in our sector in the coming months. We are enhancing our technology and focusing on our future strategy to expand to ship ownership, third-party ship management, and acquisitions providing multiple revenue streams and diversification."
作为一家成长型公司,我们很高兴并处于有利地位,能够充分利用未来几个月我们所在行业出现的机遇。我们正在加强我们的技术,并专注于我们未来的战略,将业务扩展到船舶所有权、第三方船舶管理以及提供多重收入来源和多元化的收购。
Third Quarter 2022 Financial Highlights:
Total revenues increased by $54,033, or 8.9%, to $662,647 for the three months ended September 30, 2022, compared to $608,614 for the same period ended September 30, 2021 while gross profit increased by $180,333, or 50.8%, to $535,391 for the third quarter of 2022 from $355,058 for the third quarter of 2021 driven by an increase in crew management clients and the reduced outsourcing of services in certain business areas.
2022年第三季度财务亮点:
在截至2022年9月30日的三个月中,总收入增加了54,033美元,增幅为8.9%,达到662,647美元,而截至2021年9月30日的同期为608,614美元;毛利润从2021年第三季度的355,058美元增加到2021年第三季度的355,058美元,增幅为180,333美元,增幅为50.8%,这是由于船员管理客户增加和某些业务领域的服务外包减少所致。
The Company reported a net loss for the three months ended September 30, 2022 of $54,273, a 21.1% decrease compared to the reported net loss of $68,812 in the third quarter of 2021. This loss is mainly attributable to the increased expenses for professional fees, as well as the increase in compensation and personnel to support growth and management's steps towards expansion.
该公司报告截至2022年9月30日的三个月的净亏损为54,273美元,与2021年第三季度报告的68,812美元的净亏损相比下降了21.1%。造成这一损失的主要原因是专业费用支出增加,以及为支持增长和管理层的扩张步骤而增加的薪酬和人员。
Amounts in USD |
For the Three Months Ended September 30, 2022 |
For the Three Months Ended September 30, 2021 |
|||||||
Total Revenue | $662,647 | $608,614 | |||||||
Gross Profit | $535,391 | $355,058 | |||||||
Net loss | $(54,273 | ) | $(68,812 | ) |
金额(美元) |
截至以下三个月 9月30日, 2022 |
截至以下三个月 9月30日, 2021 |
|||||||
总收入 | $662,647 | $608,614 | |||||||
毛利 | $535,391 | $355,058 | |||||||
净亏损 | $(54,273 | ) | $(68,812 | ) |
Liquidity and Capital Resources
As of September 30, 2022, the Company had a working capital1 surplus of $407,147 compared to $371,736 as of September 30, 2021, representing an increase of 9.5%.
流动性与资本资源
截至2022年9月30日,公司拥有营运资金1与截至2021年9月30日的371,736美元相比,盈余为407,147美元,增长9.5%。
Aikaterini Bokou, Elvictor's Chief Financial Officer, stated, "During fiscal year 2022, to date, we continued to increase our crew management clients and our total revenue and gross profit have improved significantly while costs we incurred have also increased as a result of our expansion. We consider the increase in the professional fees to be non-recurring to our business but necessary to assist us in our new business model that will increase our revenue streams."
Elvictor的首席财务官Aikaterini Bokou表示在2022财年,到目前为止,我们继续增加我们的船员管理客户,我们的总收入和毛利润大幅改善,同时由于我们的扩张,我们产生的成本也增加了。我们认为专业费用的增加对我们的业务来说不是经常性的,但对于帮助我们实现新的商业模式是必要的,这将增加我们的收入来源。
About Elvictor Group, Inc.:
Elvictor Group, Inc. (OTC Pink: ELVG), a Nevada corporation, is a technology centric company driving innovation and efficiencies in global ship management. Utilizing leading edge technologies, Elvictor is developing, deploying, and converging innovative technologies that can improve vessel and crew management performance. Technologies that drive specific solutions that improve the efficient operation of vessels with cost-effective, timely, and reliable solutions. Solutions that meet the complex global regulatory compliance requirements of global crew and ship management and ensure that our clients achieve their goals and objectives.
关于Elvictor Group,Inc.
Elvictor Group,Inc.(场外交易代码:ELVG)是一家内华达州公司,是一家以技术为中心的公司,推动全球船舶管理的创新和效率。利用前沿技术,Elvictor正在开发、部署和融合可提高船舶和船员管理绩效的创新技术。推动特定解决方案的技术,这些解决方案以经济高效、及时可靠的解决方案改善船舶的高效运营。满足全球船员和船舶管理复杂的全球监管合规要求的解决方案,并确保我们的客户实现他们的目标和目的。
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Cautionary Statement Regarding Forward-Looking Statements
This press release contains forward-looking statements within the meaning of Section 27A of the Securities Act of 1933 and Section 21E of the Securities Act of 1934. All statements other than statements of historical facts contained in this press release, including statements regarding our future results of operations and financial position, financial targets, business strategy, plans and objectives for future operations, are forward-looking statements. We have based these forward-looking statements largely on our current estimates of our financial results and our current expectations and projections about future events and financial trends that we believe may affect our financial condition, results of operations, business strategy, short term and long-term business operations and objectives, and financial needs as of the date of this press release. These forward-looking statements are subject to a number of risks, uncertainties and assumptions, including those described under the heading "Risk Factors" in the Company's filings with the Securities and Exchange Commission (the "SEC"). Moreover, the Company operates in a very competitive and rapidly changing environment. New risks emerge from time to time. It is not possible for our management to predict all risks, including the adverse effects of the Covid-19 pandemic on our customers, suppliers and employees and our inability to predict or measure supply chain disruptions resulting from the COVID-19 pandemic and other drivers, nor can we assess the impact of all factors on our business or the extent to which any factor, or combination of factors, may cause actual results to differ materially from those contained in any forward-looking statements we may make. In light of these risks, uncertainties and assumptions, the forward-looking events and circumstances discussed in this press release may not occur and actual results could differ materially and adversely from those anticipated or implied in the forward-looking statements.
关于前瞻性陈述的警告性声明
本新闻稿包含符合1933年《证券法》第27A节和1934年《证券法》第21E节的前瞻性陈述。除有关历史事实的陈述外,本新闻稿中包含的所有陈述,包括有关我们未来的经营结果和财务状况、财务目标、业务战略、未来经营的计划和目标的陈述,都是前瞻性陈述。这些前瞻性陈述主要基于我们目前对财务结果的估计,以及我们目前对未来事件和财务趋势的预期和预测,我们认为这些事件和财务趋势可能会影响我们的财务状况、运营结果、业务战略、短期和长期业务运营和目标,以及截至本新闻稿发布之日的财务需求。这些前瞻性陈述会受到许多风险、不确定因素和假设的影响,包括在公司提交给美国证券交易委员会(“美国证券交易委员会”)的文件中“风险因素”项下描述的那些风险、不确定性和假设。此外,该公司在竞争激烈和快速变化的环境中运营。新的风险时有出现。我们的管理层不可能预测到所有风险,包括新冠肺炎疫情对客户、供应商和员工的不利影响,以及我们无法预测或衡量新冠肺炎疫情及其他驱动因素造成的供应链中断,也无法评估所有因素对我们业务的影响,或任何因素或因素组合导致实际结果与我们可能做出的任何前瞻性声明中包含的结果存在实质性差异的程度。鉴于这些风险、不确定性和假设, 本新闻稿中讨论的前瞻性事件和情况可能不会发生,实际结果可能与前瞻性陈述中预期或暗示的结果大不相同。
You should not rely upon forward-looking statements as predictions of future events. Although the Company believes that the expectations reflected in the forward-looking statements are reasonable, the Company cannot guarantee that the future results, levels of activity, performance or events and circumstances reflected in the forward-looking statements will be achieved or occur. Moreover, neither the Company nor any other person assumes responsibility for the accuracy and completeness of the forward-looking statements. Except as required by law, the Company undertakes no obligation to update publicly any forward-looking statements for any reason after the date of this press release, to conform these statements to actual results or to changes in the Company's expectations.
你不应该依赖前瞻性陈述作为对未来事件的预测。尽管公司认为前瞻性陈述中反映的预期是合理的,但公司不能保证前瞻性陈述中反映的未来结果、活动水平、业绩或事件和情况将会实现或发生。此外,公司或任何其他人都不对前瞻性陈述的准确性和完整性承担责任。除法律另有规定外,公司没有义务在本新闻稿发布之日后以任何理由公开更新任何前瞻性陈述,使这些陈述与实际结果或公司预期的变化相符。
The Company's filings with the SEC are available to you and you should read the documents the Company has filed with the SEC for more complete information about the Company. You may obtain these documents for free by visiting EDGAR on the SEC Web site at www.sec.gov.
您可以查阅公司向美国证券交易委员会提交的文件,您应该阅读公司向美国证券交易委员会提交的文件,以获取有关公司的更完整信息。您可以通过访问美国证券交易委员会网站www.sec.gov上的埃德加来免费获取这些文件。
CONTACTS:
Elvictor Group, Inc.
management@elvictorgroup.com
联系人:
Elvictor Group,Inc.
邮箱:Management@elvictorgroup.com
Investor Relations / Media Contact:
Nicolas Bornozis / Paul Lampoutis
Capital Link, Inc.
230 Park Avenue, Suite 1536
New York, N.Y. 10169
Tel.: (212) 661-7566
Fax: (212) 661-7526
Email: elvictor@capitallink.com
投资者关系/媒体联系人:
尼古拉斯·博尔诺齐斯/保罗·兰普蒂斯
Capital Link,Inc.
公园大道230号,1536套房
纽约州纽约市,邮编10169
电话:(212)661-7566
传真:(212)661-7526
电子邮件:elvictor@capallink.com
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1 Working capital is defined as current assets minus current liabilities.
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1营运资本的定义是流动资产减去流动负债。