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AirIQ Announces March 31, 2023 Year End Results Reports Seventh Consecutive Year of Recurring Revenue Growth

AirIQ Announces March 31, 2023 Year End Results Reports Seventh Consecutive Year of Recurring Revenue Growth

AiriQ公布2023年3月31日年终业绩,连续第七年实现经常性收入增长
Accesswire ·  2023/07/13 07:30

TORONTO, ON / ACCESSWIRE / July 13, 2023 / AirIQ Inc. ("AirIQ") (TSXV:IQ), a leader in IoT based asset management solutions for over 25 years, today announced its financial results for the year ended March 31, 2023, reporting its seventh consecutive year of recurring revenue growth.

多伦多,on/ACCESSWIRE/2023年7月13日/AirIQ Inc.(“AirIQ”)(多伦多证券交易所股票代码:IQ)是基于物联网的资产管理解决方案领域的领先者,已有超过25年的历史,该公司今天公布了截至2023年3月31日的年度财务业绩,报告连续第七年实现经常性收入增长。

"We are very pleased to report that recurring revenue increased by 13% compared to the previous year." said Mike Robb, President and Chief Executive Officer of AirIQ. "The Company has reported recurring revenue growth for the seventh straight year representing an increase of over 100% during that period. The Company's growth in recurring revenues has provided a strong base for future growth and profitability for our shareholders".

我们非常高兴地报告,与前一年相比,经常性收入增长了13%。AirIQ首席执行官兼首席执行官Mike·罗布说。“公司报告连续第七年实现经常性收入增长,同期增幅超过100%。公司经常性收入的增长为我们的股东未来的增长和盈利能力提供了坚实的基础。”

"Over the past seven years - we have been consistently profitable and generated positive cash flows from operations, which has allowed us to recognize a deferred tax asset of almost $3 million dollars, adding an additional $0.10 net income per share to our shareholders", continued Mr. Robb.

“在过去的七年里,我们一直保持盈利,并从运营中产生了正的现金流,这使我们能够确认近300万美元的递延税项资产,为我们的股东增加了每股0.10美元的净收入,”罗布先生继续说。

"In addition, during the quarter the Company successfully completed an acquisition which resulted in an additional $300,000 of annual recurring revenue and represents an acquisition cost of less than 1x. We believe this acquisition will continue to drive recurring revenue growth in future periods and will continue to provide increased shareholder value", continued Mr. Robb.

“此外,在本季度,公司成功地完成了一项收购,带来了额外的30万美元的年度经常性收入,收购成本不到1倍。我们相信,这项收购将继续推动未来几个时期的经常性收入增长,并将继续为股东提供更高的价值。”

Other achievements during the quarter included increases of 27% in hardware revenues, 16% in total revenues, 13% in gross profit and 52% in net income before tax", said Mike Robb, President and Chief Executive Officer of AirIQ.

该季度的其他成就包括硬件收入增长27%,总收入增长16%,毛利润增长13%,税前净收入增长52%“,AirIQ首席执行官总裁说。

All dollar amounts set out herein are in Canadian dollars.

这里列出的所有美元金额都是加元。

Highlights for the year are as follows:

本年度的重点如下:

Annual Highlights (for the year ended March 31, 2023 compared to March 31, 2022):

年度要点(截至2023年3月31日的年度与2022年3月31日相比):

  • Recurring revenue of $3,951,177 increased by 13% or $447,389 compared to $3,503,788 for the prior year. Recurring revenue represented 78% of total revenue compared to 80% in the prior year period.
  • Hardware and other revenue of $1,098,115 increased by 27% or $232,344 compared to $865,771 for the prior year. Hardware revenue represented 22% of total revenue compared to 20% in the prior year period.
  • Total revenue of $5,049,292 increased by 16% or $679,733 compared to $4,369,559 for the prior year period.
  • Gross profit of $3,036,095 increased by 13% or $356,898 compared to $2,679,197 for the prior year period.
  • Net income of $3,693,440 increased 551% or $3,126,667 compared to $566,773 for the prior year period. Excluding the one-time deferred tax recovery of $2,830,204, net income of $863,236 increased 52% or $296,463 compared to $566,773 for the prior year period.
  • Cash and cash equivalents balance of $2,176,143 increased by 15% or $276,635 compared to $1,899,508 for the prior year period.
  • Working capital of $2,748,240 increased by 27% or $580,735 compared to $2,167,505 for the prior year period.
  • 经常性收入为3,951,177美元,较上年的3,503,788美元增长13%,即447,389美元。经常性收入占总收入的78%,而去年同期为80%。
  • 硬件和其他收入为1,098,115美元,较上年的865,771美元增长27%,即232,344美元。硬件收入占总收入的22%,而去年同期为20%。
  • 总收入为5,049,292美元,较上年同期的4,369,559美元增加16%,即679,733美元。
  • 毛利为3,036,095美元,较上年同期的2,679,197美元增加13%或356,898美元。
  • 净收入为3,693,440美元,比上年同期的566,773美元增长551%,即3,126,667美元。不包括一次性递延税款回收2,830,204美元,净收益863,236美元较上年同期的566,773美元增长52%或296,463美元。
  • 现金和现金等价物余额为2,176,143美元,比上年同期的1,899,508美元增加15%,即276,635美元。
  • 营运资本为2,748,240美元,较上年同期的2,167,505美元增加27%或580,735美元。

Fourth Quarter Highlights:

第四季度亮点:

  • Recurring revenue of $1,050,903 increased by 12% or $111,158 compared to $939,745 for same quarter in the prior year and increased by 6% or $60,413 compared to $990,490 from the prior quarter.
  • Net income of $157,432 for the quarter (excluding the one-time deferred tax recovery of $2,830,000) increased by 111% or $82,675 compared to $74,757 for the same quarter in the prior year.
  • 经常性收入为1,050,903美元,与上年同期的939,745美元相比增长了12%,即111,158美元;与上一季度的990,490美元相比增长了6%,即60,413美元。
  • 该季度的净收入为157,432美元(不包括2830,000美元的一次性递延税款回收),比去年同期的74,757美元增长了111%,即82,675美元。

Business Review

商业评论

Deferred Tax Assets

递延税项资产

Deferred tax assets of $2,948,000 were recognized at March 31, 2023 (March 31, 2022 - $nil) because it was deemed probable that the Company will generate future taxable profits against which the assets will be realized. This led to a one-time adjustment of $2,830,204 deferred income tax recovery to be recognized on the income statement.

递延税项资产2,948,000美元于2023年3月31日(2022年3月31日--零)确认,原因是认为本公司可能会产生未来的应课税利润,而该等资产将根据该等利润而变现。这导致一次性调整2,830,204美元的递延所得税回收,将在损益表中确认。

Intangibles - Customer Contracts

无形资产--客户合同

During the year ended March 31, 2023, the Company has acquired customer lists from a former reseller of the Company through the settlement of trade receivables in the amount of $312,394 (March 31, 2022 - $nil), which was recognized as the value of the intangible asset.

于截至2023年3月31日止年度,本公司透过结算应收贸易账款312,394美元(2022年3月31日--零),从本公司前经销商手中取得客户名单,并确认为无形资产价值。

Normal Course Issuer Bid

正常进程发行人投标

The Company filed a Notice of Intention to Make a Normal Course Issuer Bid (the "Bid") with the TSX Venture Exchange ("TSXV") commencing June 6, 2022 and ending on June 5, 2023. Pursuant to the Bid, the Company proposed to purchase through the facilities of the TSXV up to 1,468,379 common shares, representing approximately 5% of the then issued and outstanding common shares of the Company. The Company's broker for the Bid is Hampton Securities Limited.

本公司于2022年6月6日至2023年6月5日向多伦多证券交易所创业板交易所(“多伦多证券交易所”)提交意向正常路线发行人投标(“投标”)的通知。根据收购要约,本公司建议透过TSXV的设施购买最多1,468,379股普通股,约占本公司当时已发行及已发行普通股的5%。该公司的经纪公司为汉普顿证券有限公司。

During the year ended March 31, 2023, the Company purchased 360,500 common shares for cancellation under the Bid for a total of $97,539 or $0.27 per common share (March 31, 2022 - 507,000 common shares were purchased for cancellation for a total of $144,414 or $0.28 per common share), plus an additional $984 in broker fees were paid for the repurchase of the shares (March 31, 2022 - $2,856).

在截至2023年3月31日的年度内,公司根据投标购买了360,500股普通股以供注销,总金额为97,539美元,或每股普通股0.27美元(2022年3月31日-507,000股普通股被购买以供注销,总计144,414美元或每股普通股0.28美元),外加额外支付984美元的股票回购经纪费用(2022年3月31日至2,856美元)。

During the year ended March 31, 2022, Normal Course Issuer Bid repurchases were made pursuant a bid filed with the TSXV for the period commencing April 13, 2021 and ending on April 12, 2022. The Company's broker for this bid was also Hampton Securities Limited.

在截至2022年3月31日的年度内,正常路线发行人投标回购是根据提交给TSXV的投标进行的,投标期间从2021年4月13日开始至2022年4月12日结束。该公司的经纪公司也是汉普顿证券有限公司。

Stock Option Plan

股票期权计划

On September 15, 2022, the Company granted options to key staff in the aggregate up to 850,000 common shares in the capital of the Company at an exercise price of $0.27 per share. These options have a term of ten years, vest over four years from the date of grant; 25% the first year and 6.25% each quarter thereafter and will expire on September 15, 2032. The Company also granted options to two Board members in the aggregate up to 150,000 common shares at an exercise price of $0.27 per share. These options have a term of ten years and vest over a one-year period with 25% being vested each quarter from the date of grant.

2022年9月15日,公司以每股0.27美元的行权价向关键员工授予了总计850,000股公司股本普通股的期权。这些期权的期限为十年,自授予之日起四年内授予;第一年25%,之后每个季度6.25%,将于2032年9月15日到期。该公司还向两名董事会成员授予总计150,000股普通股的期权,行使价为每股0.27美元。这些期权的期限为十年,并在一年内授予,自授予之日起每个季度授予25%。

No options were granted during the year ended March 31, 2022.

截至2022年3月31日止年度内,并无授予任何期权。

Subsequent Events

后续事件

Normal Course Issuer Bid

正常进程发行人投标

Subsequent to March 31, 2023, on June 23, 2023, the Company announced the renewal of its normal course issuer bid to purchase up to 1,468,379 common shares representing 5% of the Company's then current issued and outstanding common shares through the facilities of the TSXV during the period commencing June 23, 2023 and ending on June 22, 2024 (the "Renewal Bid"). As of July 12, 2023, the Company has not repurchased any shares for cancellation pursuant to the Renewal Bid.

继2023年3月31日之后,本公司于2023年6月23日宣布更新其正常程序发行人投标,自2023年6月23日起至2024年6月22日止期间透过联交所的融资机制购买最多1,468,379股普通股,相当于本公司当时已发行及已发行普通股的5%(“更新投标”)。截至2023年7月12日,本公司尚未根据续订要约回购任何股份以供注销。

As of the time of issuance of this press release, the Company has a total of 29,367,574 common shares issued and outstanding.

截至本新闻稿发布时,公司共有29,367,574股普通股已发行和流通。

SELECTED ANNUAL INFORMATION
Financial Highlights
In thousands of Canadian Dollars

精选年度信息
财务亮点
以数千加元计

Year ended Year ended Year ended
31-Mar-2023 31-Mar-2022 31-Mar-2021
Recurring revenues
$ 3,951 $ 3,504 $ 3,189
Hardware and other revenues
$ 1,098 $ 866 $ 519
Total revenues
$ 5,049 $ 4,370 $ 3,708
Gross profit
$ 3,036 $ 2,679 $ 2,494
Gross profit margin %
60 % 61 % 67 %
Expenses (1)
$ 1,885 $ 1,770 $ 1,551
EBITDAS (2)
$ 1,151 $ 909 $ 943
Other expenses (3)
$ 288 $ 342 $ 494
Deferred tax recovery
$ 2,830 - -
Total net income
$ 3,693 $ 567 $ 449
Income per share, basic
$ 0.13 $ 0.02 $ 0.02
Income per share, diluted
$ 0.12 $ 0.01 $ 0.01
截至的年度 截至的年度 截至的年度
2023年3月31日 2022年3月31日 2021年3月31日
经常性收入
$ 3951 $ 3,504 $ 3189
硬件和其他收入
$ 1,098 $ 866 $ 五百一十九
总收入
$ 5,049 $ 4370 $ 3708
毛利
$ 3036 $ 2679 $ 2494
毛利率%
60 百分比 61 百分比 67 百分比
费用(1)
$ 1885 $ 1,770 $ 1,551
EBITDAS(2)
$ 1,151 $ 909 $ 943
其他费用(3)
$ 288 $ 342 $ 四百九十四
递延退税
$ 2830 - -
净收入合计
$ 3693 $ 567 $ 449
基本每股收益
$ 0.13 $ 0.02 $ 0.02
稀释后每股收益
$ 0.12 $ 0.01 $ 0.01
  1. Excludes share-based compensation and foreign exchange.
  2. EBITDAS represents earnings before interest and non-cash items: depreciation and amortization, impairment of long-lived assets and share-based compensation.
  3. Includes non-cash notional charges such as interest, depreciation and amortization, share-based expense and a one-time gain on deferred tax assets.
  1. 不包括基于股份的薪酬和外汇。
  2. EBITDAS代表扣除利息和非现金项目前的收益:折旧和摊销、长期资产减值和基于股票的薪酬。
  3. 包括非现金名义费用,如利息、折旧和摊销、基于股份的费用和递延税项资产的一次性收益。

Overview

概述

The Company's audited consolidated financial statements include the accounts of AirIQ and its subsidiaries, AirIQ U.S. Holdings, Inc., AirIQ U.S., Inc., and AirIQ, LLC. All inter-company balances and transactions have been eliminated on consolidation.

该公司经审计的综合财务报表包括AirIQ及其子公司AirIQ美国控股公司、AirIQ美国公司和AirIQ有限责任公司的账目。所有公司间余额和交易已在合并时冲销。

Financial Statements & MDA

财务报表和MDA

The Company's audited consolidated financial statements for the years ended March 31, 2023 and 2022 including notes thereto, and Management's Discussion and Analysis for the same period are being filed with the Canadian securities regulatory authorities on today's date and will be available on the Company's website () and on the System for Electronic Document Analysis and Retrieval ("SEDAR") website (). The Company's financial statements include the accounts of AirIQ and its subsidiaries, AirIQ U.S. Holdings, Inc., AirIQ U.S., Inc., and AirIQ, LLC. All inter-company balances and transactions have been eliminated on consolidation.

公司截至2023年3月31日和2022年3月31日的年度经审计的综合财务报表(包括附注)以及管理层同期的讨论和分析将于今天提交给加拿大证券监管机构,并将在公司网站()和电子文件分析和检索系统(SEDAR)网站()上查阅。该公司的财务报表包括AirIQ及其子公司AirIQ美国控股公司、AirIQ美国公司和AirIQ有限责任公司的账目。所有公司间余额和交易已在合并时冲销。

About AirIQ

关于AirIQ

AirIQ (TSXV:IQ) is celebrating it's 26th anniversary of its founding in 1997 and is a pioneer in IoT based asset management solutions. AirIQ's solutions allow commercial businesses to reliably, effectively and efficiently monitor assets in near real time. The Company develops iOS and Android mobile and web-based applications, and cloud-based solutions that stand-alone or that can be readily integrated with existing software. AirIQ solutions are mixed fleet capable and provide fleet reporting, maintenance, compliance, safety and analytics utilizing multiple hardware options including a fully integrated video telematics camera solution and a battery powered solution for non-powered assets. For additional information on AirIQ please visit the Company's website at or follow us on LinkedIn, Facebook, and Twitter and Instagram.

AirIQ(TSXV:IQ)庆祝26岁这是该公司成立于1997年,是基于物联网的资产管理解决方案的先驱。AirIQ的解决方案使商业企业能够可靠、有效和高效地近乎实时地监控资产。该公司开发基于iOS和Android的移动和基于网络的应用程序,以及基于云的解决方案,这些解决方案可以独立或可以很容易地与现有软件集成。AirIQ解决方案支持混合机队,并利用多种硬件选项提供机队报告、维护、合规、安全和分析,包括完全集成的视频远程信息处理摄像机解决方案和用于非供电资产的电池供电解决方案。欲了解更多有关AirIQ的信息,请访问公司网站,或在LinkedIn、Facebook、Twitter和Instagram上关注我们。

Forward-looking Statements

前瞻性陈述

This news release contains forward-looking information based on management's best estimates and the current operating environment. These forward-looking statements are related to, but not limited to, AirIQ's operations, anticipated financial performance, business prospects and strategies. Forward-looking information typically contains statements with words such as "hope", "goal", "anticipate", "believe", "expect", "plan" or similar words suggesting future outcomes. These statements are based upon certain material factors or assumptions that were applied in drawing a conclusion or making a forecast or projection as reflected in the forward-looking statements, including AirIQ's perception of historical trends, current conditions and expected future developments as well as other factors management believes are appropriate in the circumstances. Such forward-looking statements are as of the date which such statement is made and are subject to a number of known and unknown risks, uncertainties and other factors, which could cause actual results or events to differ materially from future results expressed, anticipated or implied by such forward-looking statements. Such factors include, but are not limited to, changes in market and competition, technological and competitive developments and potential downturns in economic conditions generally. Therefore, actual outcomes may differ materially from those expressed in such forward-looking statements. Forward-looking statements are provided for the purpose of providing information about management's current expectations and plans relating to the future. Readers are cautioned that such information may not be appropriate for other purposes. Other than as may be required by law, AirIQ disclaims any intention or obligation to update or revise any such forward-looking statements, whether as a result of such information, future events or otherwise.

本新闻稿包含基于管理层最佳估计和当前经营环境的前瞻性信息。这些前瞻性陈述涉及但不限于AirIQ的运营、预期财务业绩、业务前景和战略。前瞻性信息通常包含带有“希望”、“目标”、“预期”、“相信”、“预期”、“计划”等词语的陈述,或暗示未来结果的类似词语。这些陈述是基于前瞻性陈述中反映的在作出结论或作出预测或预测时应用的某些重大因素或假设,包括AirIQ对历史趋势、当前状况和预期未来发展的看法,以及管理层认为在这种情况下合适的其他因素。这些前瞻性表述是截至作出此类表述之日的,受许多已知和未知的风险、不确定性和其他因素的影响,这些风险、不确定性和其他因素可能导致实际结果或事件与此类前瞻性表述所表达、预期或暗示的未来结果大相径庭。这些因素包括但不限于市场和竞争的变化、技术和竞争的发展以及经济状况总体上可能出现的下滑。因此,实际结果可能与这些前瞻性陈述中表达的结果大不相同。提供前瞻性陈述的目的是提供有关管理层目前对未来的期望和计划的信息。提醒读者,此类信息可能不适合用于其他目的。除法律规定外,AirIQ没有任何意图或义务更新或修改任何此类前瞻性声明,无论是由于此类信息、未来事件或其他原因。

For more information please contact:

欲了解更多信息,请联系

AirIQ Inc.,
Michael Robb, President and Chief Executive Officer,
(905) 831-6444
mrobb@airiq.com

AirIQ Inc.
迈克尔·罗布、总裁和首席执行官,
(905)831-6444
邮箱:mrobb@airiq.com

Neither 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 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。

SOURCE: AirIQ Inc.

资料来源:AirIQ Inc.


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