Empower Clinics Reports Q4 2022 Results
Empower Clinics Reports Q4 2022 Results
46% year over year increase in gross profit margin and 7% Increase in Revenue
毛利率同比增长46%,收入增长7%
VANCOUVER, BC / ACCESSWIRE / February 28, 2023 / EMPOWER CLINICS INC (CSE:CBDT)(Frankfurt:8EC)(OTCQB:EPWCF) ("Empower" or the "Company") a life sciences healthcare company - serving patients through medical centers, a medical device company and the application of clinical studies that leverages it's high complexity medical diagnostics laboratory - announced today it has filed its Q4 2022 interim consolidated financial statements and related management's discussion & analysis, both of which are available at . All financial information in this press release is reported in United States dollars, unless otherwise indicated. On December 23, 2022, the Company announced it has changed its fiscal year end from December 31 to March 31.
温哥华,BC/ACCESSWIRE/2023年2月28日/Empower Clinics Inc(CSE:CBDT)(法兰克福:8EC)(OTCQB:EPWCF)(“Empower”或“公司”)一家生命科学保健公司-通过医疗中心、一家医疗设备公司和利用其高复杂性医疗诊断实验室的临床研究应用为患者服务-今天宣布,它已提交了2022年第四季度中期合并财务报表和相关管理层的讨论和分析,这两份报表都可以在以下网址查阅。除非另有说明,本新闻稿中的所有财务信息均以美元报告。2022年12月23日,该公司宣布将其财政年度结束日期从12月31日改为3月31日。
"I am proud of our team and their efforts to maintain growth initiatives, all while managing costs going into 2023." said Steven McAuley, Chairman & CEO. "Going forward, we continue to develop our U.S. healthcare initiatives focusing on offering clinical trial services, with the stated objective of becoming an established Site Management Organization (SMO) for the pharmaceutical, biotechnology and medical device industries."
我为我们的团队以及他们为保持增长计划所做的努力感到自豪,所有这些都是在2023年之前管理成本的情况下进行的。董事长兼首席执行官史蒂文·麦考利说。展望未来,我们将继续发展我们的美国医疗保健计划,专注于提供临床试验服务,其既定目标是成为制药、生物技术和医疗器械行业的老牌现场管理组织(SMO)。“
Q4 2022 Highlights
2022年第四季度亮点
- Total revenues from continuing operations of $426,786 for Q4 2022 compared to revenues of $1,142,581 for Q4 2021, representing a 63% decrease year over year. The decrease in revenue was mainly attributed to the decrease in COVID-19 testing services.
- Gross margin from continuing operations was 16% for Q4 2022, compared to a negative gross margin of 25% in Q4 2021. The increase in gross margin resulted from savings in personnel costs.
- Net loss from continuing operations was $2,370,651 or $0.01 per share compared to a net loss from continuing operations of $4,684,114 or $0.01 per share for Q4 2021.
- Cash as at December 31, 2022 was $193,144, compared to cash of $866,170 at December 31, 2021.
- Cash used in operating activities from continuing operations was $447,013 for Q4 2022, compared to $778,897 for Q4 2021.
- 2022年第四季度持续运营的总收入为426,786美元,而2021年第四季度的收入为1,142,581美元,同比下降63%。收入减少主要归因于新冠肺炎检测服务的减少。
- 2022年第四季度持续运营的毛利率为16%,而2021年第四季度的毛利率为负25%。毛利率的增加是由于节省了人事成本。
- 持续运营的净亏损为2,370,651美元,或每股亏损0.01美元,而2021年第四季度持续运营的净亏损为4,684,114美元,或每股亏损0.01美元。
- 截至2022年12月31日的现金为193,144美元,而截至2021年12月31日的现金为866,170美元。
- 2022年第四季度持续运营在运营活动中使用的现金为447,013美元,而2021年第四季度为778,897美元。
Financial Summary
财务摘要
$, except where noted |
Three months ended
December 31,
|
Twelve months ended
December 31,
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2022 | 2021 | 2022 | 2021 | |||||||||
Total revenues |
426,786 | 1,142,581 | 4,661,525 | 4,368,916 | ||||||||
Direct clinic expenses |
(359,668 | ) | (1,428,074 | ) | (2,693,502 | ) | (3,020,412 | ) | ||||
Loss from operations |
(1,194,869 | ) | (2,361,586 | ) | (4,954,313 | ) | (5,441,952 | ) | ||||
Net loss from continuing operations |
(2,370,651 | ) | (4,684,114 | ) | (2,960,787 | ) | (31,736,245 | ) | ||||
Adjusted EBITDA loss |
(2,737,185 | ) | (2,250,620 | ) | (5,761,969 | ) | (3,848,456 | ) | ||||
Net loss per share, continuing operations, basic and diluted |
(0.01 | ) | (0.01 | ) | (0.01 | ) | (0.10 | ) |
$,除非另有说明 |
截至三个月
十二月三十一日,
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截至12个月
十二月三十一日,
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2022 | 2021年 | 2022 | 2021年 | |||||||||
总收入 |
426,786 | 1,142,581 | 4661,525 | 4368916 | ||||||||
直接诊疗费用 |
(359,668 | ) | (1428,074) | ) | (2693,502 | ) | (3020,412 | ) | ||||
运营亏损 |
(1,194,869 | ) | (2361,586) | ) | (4954,313 | ) | (5441,952 | ) | ||||
持续经营净亏损 |
(2370651) | ) | (4,684,114 | ) | (2960,787 | ) | (31,736,245 | ) | ||||
调整后的EBITDA亏损 |
(2,737,185 | ) | (2250,620 | ) | (5761,969 | ) | (3848,456) | ) | ||||
每股净亏损,持续经营,基本亏损和摊薄 |
(0.01 | ) | (0.01 | ) | (0.01 | ) | (0.10 | ) |
Financial Performance
财务业绩
As part of total revenues, revenues from the Health & Wellness segment for Q4 2022 were $151,659 compared to Q4 2021 revenues of $256,254. This decrease over the prior year period is attributable to lower revenues from Medi-Collective's clinics.
作为总收入的一部分,2022年第四季度健康与健康部门的收入为151,659美元,而2021年第四季度的收入为256,254美元。与上年同期相比减少的原因是Medi-Collective诊所的收入减少。
Diagnostics & Technology revenue includes the sale of MediSure products and laboratory testing services conducted by MediSure Laboratory and Empower Clinics. Diagnostics & Technology revenue for Q4 2022 were $275,127 compared to $886,327 in Q4 2021. The decrease in revenue was due to reduced Covid-19 testing in the United States as well as other laboratory services in the current year period. Of the total revenue in Q4 2022, 98% was attributable to the sale of medical equipment in MediSure.
诊断与技术收入包括由MediSure实验室和Empower诊所进行的MediSure产品和实验室测试服务的销售。2022年第四季度诊断与技术收入为275,127美元,而2021年第四季度为886,327美元。收入减少是由于本年度在美国的新冠肺炎检测以及其他实验室服务减少所致。在2022年第四季度的总收入中,98%来自MediSure的医疗设备销售。
Direct expenses excluding depreciation and amortization for Q4 2022 were $359,668 compared to Q4 2021 direct clinic expenses of $1,428,074. The decrease in direct expenses was due to the decrease in operating activities, primarily personnel costs, associated with providing Covid-19 testing services.
2022年第四季度不包括折旧和摊销的直接费用为359,668美元,而2021年第四季度的直接临床费用为1,428,074美元。直接费用减少是因为与提供新冠肺炎检测服务相关的经营活动减少,主要是人员成本减少。
Loss from operations for Q4 2022 was $1,194,869 compared to Q4 2021 of $2,361,586. This decrease in loss over the prior year comparable quarter is primarily due to reduced advertising and promotion activities and legal and professional fees.
2022年第四季度的运营亏损为1,194,869美元,而2021年第四季度的运营亏损为2,361,586美元。亏损比上年同期减少的主要原因是广告和促销活动以及法律和专业费用的减少。
Net loss from continuing operations for Q4 2022 was $2,370,651 compared to Q4 2021 of $4,684,114. In Q4 2021, the Company recognized aggregate impairment charges of $5,222,249, while no impairment was recorded in Q4 2022. This difference was offset by a loss on debt settlement of $1,873,901 in the current year period and a lower gain on change in fair value of warrant liability and conversion features associated with convertible debentures in Q4 2022.
2022年第四季度持续运营的净亏损为2,370,651美元,而2021年第四季度的净亏损为4,684,114美元。于2021年第四季度,本公司确认的减值费用总额为5,222,249美元,而于2022年第四季度则未录得减值。这一差额被本年度期间1,873,901美元的债务结算亏损以及2022年第四季度认股权证负债的公允价值变化和与可转换债券相关的转换特征的较低收益所抵消。
Adjusted EBITDA is a non-GAAP financial measure that is calculated as net loss from continuing operations before depreciation and amortization, interest, accretion, share-based compensation, changes in the fair value of derivative liabilities and extraordinary items such as impairment. Adjusted EBITDA loss in Q4 2022 was $863,284compared to $2,250,620 in Q4 2021. Adjusted EBITDA is a metric used by management to monitor the Company's revenues compared to its cash operating costs in an effort to trend toward improved profitability.
经调整的EBITDA是一项非公认会计准则财务计量,按持续业务折旧及摊销前的净亏损、利息、增值、基于股份的薪酬、衍生负债的公允价值变动及非常项目(如减值)计算。2022年第四季度调整后的EBITDA亏损为863,284美元,而2021年第四季度为2,250,620美元。调整后的EBITDA是管理层用来监测公司收入与现金运营成本之比的指标,以努力提高盈利能力。
During Q4 2022, the Company used $447,013 of cash in operating activities of continuing operations. The Company invested cash of $754 for the purchase of furniture and equipment and had $186,396 of cash provided by financing activities from the issuance of units and convertible debentures offset by lease payments and consideration payable.
在2022年第四季度,公司在持续运营的经营活动中使用了447,013美元的现金。公司为购买家具和设备投入了754美元的现金,通过发行单位和可转换债券的融资活动提供了186,396美元的现金,由租赁付款和应付对价抵消。
Please refer to Empower's condensed interim consolidated financial statements, related notes and accompanying management's discussion & analysis for a full review of the Company's operations.
请参阅Empower的简明中期综合财务报表、相关附注以及管理层的讨论和分析,以全面审查公司的运营情况。
About Empower
关于授权
Empower is an integrated healthcare company that provides body and mind wellness for patients through its clinics, with digital and telemedicine care, and world-class medical diagnostics laboratories. Supported by an experienced leadership team, Empower is aggressively growing its clinical and digital presence across North America. Our Health & Wellness and Diagnostics & Technology business units are positioned to positively impact the integrated health of our patients, while simultaneously providing long term value for our shareholders.
Empower是一家综合性医疗保健公司,通过其诊所、数字和远程医疗护理以及世界级医疗诊断实验室为患者提供身心健康。在经验丰富的领导团队的支持下,Empower正在北美地区积极扩大其临床和数字业务。我们的健康与健康和诊断与技术业务部门将积极影响我们患者的整体健康,同时为我们的股东提供长期价值。
ON BEHALF OF THE BOARD OF DIRECTORS:
Steven McAuley
Chief Executive Officer
我谨代表董事会:
史蒂文·麦考利
首席执行官
CONTACTS:
联系人:
Investors |
Tamara Mason |
Steven McAuley |
|
Business Development & Communications |
CEO |
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1-855-855-9058 |
1-855-855-9058 |
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t.mason@empowerclinics.com |
s.mcauley@empowerclinics.com |
投资者 |
塔玛拉·梅森 |
史蒂文·麦考利 |
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业务发展与沟通 |
首席执行官 |
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1-855-855-9058 |
1-855-855-9058 |
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邮箱:t.mason@empower Clinics.com |
邮箱:s.mcauley@empower Clinics.com |
DISCLAIMER FOR FORWARD-LOOKING STATEMENTS
对前瞻性陈述的免责声明
This news release contains certain "forward-looking statements" or "forward-looking information" (collectively "forward looking statements") within the meaning of applicable Canadian securities laws. Statements other than statements of historical fact are forward-looking statements and are based on expectations, estimates and projections as at the date of this news release, and include statements regarding the Company's ability to positively impact the integrated health of its patients while simultaneously providing long term value for shareholders. Forward-looking statements can frequently be identified by words such as "plans", "continues", "expects", "projects", "intends", "believes", "anticipates", "estimates", "may", "will", "potential", "proposed" and other similar words, or information that certain events or conditions "may" or "will" occur. Such statements are only projections, are based on assumptions known to management at this time, and are subject to risks and uncertainties that may cause actual results, performance or developments to differ materially from those contained in the forward-looking statements, including: that the Company will be able to successfully operate numerous SMO's starting in Dallas, TX or operate any at all; that the Company's products may not work as expected; that the Company may not be able to maintain or expand its current COVID-19 testing; that legislative changes may have an adverse effect on the Company's business and product development; that the Company may not be able to obtain adequate financing to pursue its business plan; that general business, economic, competitive, political and social uncertainties; failure to obtain any necessary approvals in connection with any proposed transactions; and other factors beyond the Company's control. No assurance can be given that any of the events anticipated by the forward-looking statements will occur or, if they do occur, what benefits the Company will obtain from them. Readers are cautioned not to place undue reliance on the forward-looking statements in this release, which are qualified in their entirety by these cautionary statements. The Company is under no obligation, and expressly disclaims any intention or obligation, to update or revise any forward-looking statements in this release, whether as a result of new information, future events or otherwise, except as expressly required by applicable laws.
本新闻稿包含适用于加拿大证券法的某些“前瞻性陈述”或“前瞻性信息”(统称为“前瞻性陈述”)。除历史事实陈述外,其他陈述均为前瞻性陈述,以本新闻稿发布之日的预期、估计和预测为基础,包括有关该公司在为股东提供长期价值的同时,积极影响患者整体健康的能力的陈述。前瞻性表述常常可以用“计划”、“继续”、“预期”、“项目”、“打算”、“相信”、“预期”、“估计”、“可能”、“将”、“潜在”、“建议”和其他类似词语,或某些事件或条件“可能”或“将”发生的信息来识别。此类声明只是预测,基于管理层目前已知的假设,受风险和不确定因素的影响,这些风险和不确定性可能会导致实际结果、业绩或发展与前瞻性声明中包含的结果、业绩或发展大不相同,这些风险和不确定性包括:公司将能够成功运营从德克萨斯州达拉斯开始的众多SMO,或者根本不能运营任何SMO;公司的产品可能无法达到预期的效果;公司可能无法维持或扩大目前的新冠肺炎测试;法规的变化可能会对公司的业务和产品开发产生不利影响;公司可能无法获得足够的资金来执行其业务计划;一般业务、经济、竞争、政治和社会的不确定性;未能就任何拟议的交易获得任何必要的批准;以及公司无法控制的其他因素。不能保证前瞻性陈述中预期的任何事件都会发生,或者如果发生了,公司将从中获得什么好处。告诫读者不要过度依赖本新闻稿中的前瞻性陈述,这些前瞻性陈述完全受这些警告性陈述的限制。除适用法律明确要求外,公司没有义务更新或修改本新闻稿中的任何前瞻性陈述,除非适用法律明确要求,无论是新信息、未来事件还是其他原因。
SOURCE: Empower Clinics Inc.
资料来源:Empower Clinics Inc.