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Solarvest Reports Second Quarter Fiscal 2022 Financial Results

Solarvest Reports Second Quarter Fiscal 2022 Financial Results

Solarvest 公布了 2022 财年第二季度财务业绩
newsfile ·  2023/03/31 17:05

Vancouver, British Columbia--(Newsfile Corp. - March 31, 2023) - Solarvest BioEnergy Inc. (TSXV: SVS) ("Solarvest" or the "Company") wishes to report that it has filed its interim financial results for the six-month period ended January 31, 2023. Solarvest's financial statements (the "Financial Statements") are prepared in accordance with International Financial Reporting Standards. Full copies of the Financial Statements, accompanying management discussion and analysis ("MD&A") and officer certifications are available on .

不列颠哥伦比亚省温哥华--(Newsfile Corp.,2023年3月31日)——Solarvest BioEnergy Inc.(多伦多证券交易所股票代码:SVS)(“Solarvest” 或 “公司”)希望报告说,它已经提交了截至2023年1月31日的六个月期间的中期财务业绩。Solarvest的财务报表(“财务报表”)是根据国际财务报告准则编制的。财务报表、随附的管理层讨论和分析(“MD&A”)以及高管认证的完整副本可在上查阅。

Q2 Summary

第二季度摘要

The Company faces increasingly challenging financial and business conditions, including an inability to raise sufficient equity, equity-linked or debt financing to fully fund execution of its business plans and for the sale of its inventory and work in process.

公司面临着日益严峻的财务和业务状况,包括无法筹集足够的股权、股票挂钩融资或债务融资,为其业务计划的执行以及出售库存和在建工程提供全额资金。

As of January 31, 2023, the Company had cash and cash equivalents of $90,421, a working capital deficit of $1,752,397 and an accumulated deficit of $17,518,048. The Company also had a net loss of $977,398 and negative cash flows from operations of $716,328 for the six-months ended January 31, 2023. Due to limited cash flows from operations, the Company and its subsidiaries have missed making vendor and loan payments.

截至2023年1月31日,该公司的现金及现金等价物为90,421美元,营运资金赤字为1,752,397美元,累计赤字为17,518,048美元。在截至2023年1月31日的六个月中,该公司的净亏损也为977,398美元,运营产生的负现金流为716,328美元。由于运营现金流有限,公司及其子公司错过了支付供应商和贷款的机会。

Due to difficult capital market conditions, the Company raised only $541,900 of a proposed $1,000,000 private placement which closed on February 7, 2023.

由于资本市场条件艰难,该公司在2023年2月7日结束的拟议100万美元私募中仅筹集了541,900美元。

Debt refinancing of the Company, the raising of additional capital, and/or the trade sale of some of the Company's operations to make bulk payments to repay outstanding debt and accounts payable, if successful, would potentially alleviate any significant doubt on the Company's ability to continue as a going concern. In the event that debt and/or capital financing is unable to be secured or contemplated trade sale fail to materialize, the Company may need to resolve to other means of protecting its assets in the best interests of its shareholders, including foreclosure or forced liquidation and/or seeking creditors' protection.

对公司进行债务再融资、筹集额外资本和/或交易出售公司部分业务以批量偿还未偿债务和应付账款,如果成功,有可能缓解人们对公司继续作为持续经营企业的能力的任何重大怀疑。如果债务和/或资本融资无法担保或计划中的交易出售未能实现,为了股东的最大利益,公司可能需要决心采取其他手段来保护其资产,包括取消抵押品赎回权或强制清算和/或寻求债权人的保护。

Management is evaluating various alternatives to secure the necessary financing so that the Company can continue as a going concern. While the Company has been successful in obtaining financing to date and believes it will be able to obtain sufficient funds in the future and ultimately achieve profitability and positive cash flows from operations, there can be no assurance that the Company will achieve profitability and be able to do so in the future on terms favorable for the Company.

管理层正在评估各种替代方案,以获得必要的融资,以便公司能够继续作为持续经营企业。尽管公司迄今已成功获得融资,并相信将来将能够获得足够的资金,并最终实现盈利和运营中的正现金流,但无法保证公司将实现盈利并能够在未来以对公司有利的条件实现盈利。

Shareholders and investors are directed to read the Financial Statements and MD&A in their entirety.

指示股东和投资者完整阅读财务报表和MD&A。

Financial Advisory Board Dissolved

财务顾问委员会解散

As part of the Company's streamlining of its organizational structure, it has decided to dissolve its financial advisory board (the "FAB") (see the Company's news releases dated July 7 and 14, 2022) and terminated the consulting agreements with two FAB members, Richard Groome and Jerome Cliche. The Company would like thank Messrs. Groome and Cliche for their services.

作为公司精简组织结构的一部分,它已决定解散其财务顾问委员会(“FAB”)(见公司2022年7月7日和14日的新闻稿),并终止了与两名FAB成员理查德·格鲁姆和杰罗姆·克利奇的咨询协议。公司要感谢Groome先生和Cliche先生的服务。

About Solarvest

关于 Solarvest

Solarvest BioEnergy Inc. is an algae biologics company whose production platform provides it with an extremely flexible system capable of producing numerous products from Omega 3 fatty acids to human therapeutic proteins.

Solarvest BioEnergy Inc. 是一家藻类生物制剂公司,其生产平台为其提供了一个极其灵活的系统,能够生产从欧米茄3脂肪酸到人类治疗蛋白的多种产品。

For further information contact:

欲了解更多信息,请联系:

Claes Ellegaard
Phone: 1.514.898.3488
Email: invest@solarvest.ca

Claes Ellegaard
电话:1.514.898.3488
电子邮件:invest@solarvest.ca

Forward-Looking Statement

前瞻性陈述

This news release contains statements that constitute "forward-looking information" within the meaning of Canadian securities laws ("forward-looking statements"), which are based upon our current expectations, estimates, projections, assumptions and beliefs. All information that is not clearly historical in nature may constitute forward-looking statements. Forward-looking statements are typically identified by the use of terms or phrases such as "anticipate", "believe", "could", "estimate", "expect", "intend", "may", "plan", "predict", "project", "will", "would" and "should", and similar terms and phrases, including references to assumptions.

本新闻稿包含构成加拿大证券法所指的 “前瞻性信息” 的陈述(“前瞻性陈述”),这些陈述基于我们当前的预期、估计、预测、假设和信念。所有本质上不明确的历史信息都可能构成前瞻性陈述。前瞻性陈述通常通过使用术语或短语来识别,例如 “预期”、“相信”、“可以”、“估计”、“期望”、“打算”、“可能”、“计划”、“预测”、“项目”、“将” 和 “应该”,以及类似的术语和短语,包括对假设的提及。

Forward-looking statements, by their nature, are based on assumptions and are subject to known and unknown risks and uncertainties, both general and specific, that contribute to the possibility that the forward-looking statement will not occur. The forward-looking statements in this press release speak only as of the date hereof and reflect several material factors, expectations and assumptions. While Solarvest considers these factors, expectations and assumptions to be reasonable, actual events or results could differ materially from the results, predictions, forecasts, conclusions or projections expressed or implied in the forward-looking statements. Undue reliance should not be placed on any predictions or forward-looking statements as these may be affected by, among other things, changing external events and general uncertainties of the business. A discussion of the material risks applicable to us can be found in our current Management Discussion and Analysis, which will be filed on SEDAR and can be accessed at . Solarvest cautions that the list of risk factors included in such Management Discussion and Analysis is not exhaustive. Except as required by applicable securities laws, forward-looking statements speak only as of the date on which they are made and we disclaim any intention and assume no obligation to publicly update or revise any forward-looking statement, whether as a result of new information, future events or otherwise.

就其本质而言,前瞻性陈述是基于假设的,受已知和未知的风险和不确定性的影响,包括一般和具体的风险和不确定性,这些风险和不确定性加剧了前瞻性陈述不发生的可能性。本新闻稿中的前瞻性陈述仅代表截至本文发布之日,反映了多个重大因素、预期和假设。尽管Solarvest认为这些因素、预期和假设是合理的,但实际事件或结果可能与前瞻性陈述中表达或暗示的结果、预测、预测、结论或预测存在重大差异。不应过分依赖任何预测或前瞻性陈述,因为除其他外,这些预测或前瞻性陈述可能会受到不断变化的外部事件和业务总体不确定性的影响。有关适用于我们的重大风险的讨论可在我们当前的管理讨论与分析中找到,该讨论与分析将在SEDAR上提交,可在以下网址查阅。Solarvest警告说,此类管理讨论和分析中包含的风险因素清单并不详尽。除非适用的证券法要求,否则前瞻性陈述仅代表其发表之日,我们不打算也不承担任何公开更新或修改任何前瞻性陈述的义务,无论是由于新信息、未来事件还是其他原因。

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 press release.

多伦多证券交易所风险交易所及其监管服务提供商(该术语在多伦多证券交易所风险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。

To view the source version of this press release, please visit

要查看本新闻稿的源版本,请访问

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
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