share_log

ParkerVision Reports Profitable First Half of 2023

ParkerVision Reports Profitable First Half of 2023

ParkerVision 报告称 2023 年上半年实现盈利
Accesswire ·  2023/08/14 16:01

JACKSONVILLE, FL / ACCESSWIRE / August 14, 2023 / ParkerVision, Inc. (OTCQB:PRKR) ("ParkerVision" or the "Company"), a developer and marketer of technologies and products for wireless applications, today announced results for the three and six months ended June 30, 2023.

佛罗里达州杰克逊维尔/ACCESSWIRE/2023年8月14日/亚洲网加利福尼亚州圣何塞6月30日电无线应用技术和产品的开发商和营销商ParkerVision公司(场外交易代码:PRKR)(以下简称“ParkerVision”或“公司”)今天公布了截至2023年6月30日的三个月和六个月的业绩。

First Half 2023 Summary and Recent Developments

2023年上半年摘要和最新发展

  • The Company recognized $25 million in revenue from patent license and settlement agreements and, after recognizing contingent legal fees and expenses, reported net income of $14.5 million in the first half of 2023.
  • The Company recently filed patent infringement cases in the Western District of Texas against Texas Instruments and NXP Semiconductors and additional cases against Taiwanese chip companies MediaTek and Realtek.
  • During the second quarter of 2023, the Company received $5 million in new funding under its contingent payment agreement.
  • The Company continues to await its hearing date in the appeal of its patent infringement case against Qualcomm in the Middle District of Florida.
  • 该公司确认了2500万美元的专利许可和和解协议收入,在确认或有法律费用和支出后,2023年上半年的净收入为1450万美元。
  • 该公司最近在得克萨斯州西区对德州仪器和恩智浦半导体提起专利侵权诉讼,并对台湾芯片公司联发科和Realtek提起更多诉讼。
  • 2023年第二季度,根据或有付款协议,公司获得了500万美元的新资金。
  • 该公司继续等待其在佛罗里达州中区针对高通公司的专利侵权案的上诉开庭日期。

Jeffrey Parker, Chairman and Chief Executive Officer, commented, "ParkerVision currently has a dozen open cases in U.S. Federal Courts against eight companies to enforce our patent rights for the unauthorized use of our wireless technologies. We strongly believe the innovations covered by ParkerVision's patents have enabled more competitive and compelling wireless products, and we encourage those who have benefited from incorporating our technology into their products to obtain authorization to use our protected intellectual property through a license. As we learn of additional infringement, we expect to continue to expand the enforcement of our patent rights."

ParkerVision公司董事长兼首席执行官杰弗里·帕克评论说:“ParkerVision公司目前在美国联邦法院有十几起针对8家公司的未决案件,这些案件是为了强制执行我们未经授权使用我们无线技术的专利权。我们坚信,ParkerVision公司专利所涵盖的创新使无线产品更具竞争力和吸引力,我们鼓励那些从将我们的技术融入他们的产品中受益的人通过许可证获得使用我们受保护的知识产权的授权。随着我们了解到更多的侵权行为,我们预计将继续扩大我们专利权的执行。”

Mr. Parker continued, "ParkerVision has invested hundreds of millions of dollars in R&D and marketing in its patented RF receiver and transmitter technologies to enable ultra-small semiconductor chips that deliver high-performance RF wireless communications for mobile telephone standards such as 3G, 4G, and 5G, WiFi communications, Bluetooth, satellite communications and other wireless applications."

帕克先生继续说道:“ParkerVision在研发和营销其获得专利的射频接收器和发射器技术方面投入了数亿美元,使超小型半导体芯片能够为3G、4G和5G等移动电话标准、WiFi通信、蓝牙、卫星通信和其他无线应用提供高性能的RF无线通信。”

Financial Results

财务业绩

  • ParkerVision reported net income for the second quarter of 2023 of $1.4 million, or $0.02 per common share, compared to a net loss of ($4.4) million, or ($0.06) per common share for the second quarter of 2022. The increase in net income is largely a result of a decrease in the estimated fair value of contingent payment obligations.
  • ParkerVision reported net income for the first half of 2023 of $14.5 million, or $0.17 per common share, compared to a net loss of ($4.1) million, or $ (0.05) per common share for the second half of 2022. The increase in net income is primarily the result of $25 million in revenue recognized on a patent license and settlement agreement reached in February 2023, offset by contingent legal fees and expenses incurred related to the agreement.
  • During the first half of 2023, the Company repaid $13.9 million of its secured contingent payment obligation with proceeds received from patent license and settlement agreements and received $5.0 million in new contingent borrowings.
  • The Company had $4.2 million in cash and cash equivalents as of June 30, 2023.
  • ParkerVision公布2023年第二季度净收益为140万美元,或每股普通股0.02美元,而2022年第二季度净亏损(440万美元),或每股普通股(0.06美元)。净收入增加的主要原因是或有付款债务的估计公允价值减少。
  • ParkerVision公布2023年上半年净收益为1450万美元,或每股普通股0.17美元,而2022年下半年净亏损(410万美元),或每股普通股(0.05美元)。净收入的增长主要是由于2023年2月达成的专利许可和和解协议确认的2500万美元收入被或有法律费用和与该协议相关的支出所抵消。
  • 在2023年上半年,公司用专利许可和和解协议的收益偿还了1390万美元的有担保或有付款债务,并收到了500万美元的新或有借款。
  • 截至2023年6月30日,该公司拥有420万美元的现金和现金等价物。

About ParkerVision

关于ParkerVision

ParkerVision, Inc. invents, develops and licenses cutting-edge, proprietary radio-frequency (RF) technologies that enable wireless solution providers to make and sell advanced wireless communication products. ParkerVision is engaged in a number of patent enforcement actions in the U.S. to protect patented rights that it believes are broadly infringed by others. For more information, please visit . (PRKR-I)

ParkerVision公司发明、开发和授权尖端的专有射频(RF)技术,使无线解决方案供应商能够制造和销售先进的无线通信产品。ParkerVision在美国从事了多项专利执法行动,以保护其认为被其他公司广泛侵犯的专利权。欲了解更多信息,请访问。(PRKR-I)

Safe Harbor Statement

安全港声明

This press release contains forward-looking statements within the meaning of Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Act of 1934, as amended. All statements, other than statements of historical fact, included or incorporated in this press release are forward-looking statements. The words "believe" and "expect," and similar expressions are intended to identify these forward-looking statements. The Company does not guarantee that it will actually achieve the plans, intentions or expectations disclosed in its forward-looking statements and you should not place undue reliance on the Company's forward-looking statements.

本新闻稿包含符合修订后的1933年证券法第27A节和修订后的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,本新闻稿中包括或纳入的所有陈述均为前瞻性陈述。“相信”和“期望”等词语以及类似的表达方式旨在识别这些前瞻性陈述。本公司不保证其将实际实现其前瞻性陈述中披露的计划、意图或预期,您不应过度依赖本公司的前瞻性陈述。

Forward-looking statements involve risks and uncertainties, and actual results could vary materially from these forward-looking statements. There are a number of important factors that could cause the Company's actual results to differ materially from those indicated or implied by its forward-looking statements, including those important factors set forth under the caption "Risk Factors" in the Company's Annual Report on Form 10-K for the year ended December 31, 2022 and disclosures in the Company's Quarterly Reports on Form 10-Q for the quarters ended March 31, 2023 and June 30, 2023, filed with the Securities and Exchange Commission. Although the Company may elect to do so at some point in the future, the Company does not assume any obligation to update any forward-looking statement and it disclaims any intention or obligation to update or revise any forward-looking statement, whether as a result of new information, future events, or otherwise.

前瞻性陈述涉及风险和不确定因素,实际结果可能与这些前瞻性陈述大不相同。有许多重要因素可能会导致公司的实际结果与其前瞻性陈述中显示或暗示的结果大不相同,包括公司在截至2022年12月31日的10-K表格年度报告中“风险因素”标题下列出的那些重要因素,以及公司在提交给美国证券交易委员会的截至2023年3月31日和2023年6月30日的季度报告中披露的那些重要因素。尽管公司可能会选择在未来某个时候这样做,但公司不承担任何更新任何前瞻性陈述的义务,也不承担任何因新信息、未来事件或其他原因而更新或修改任何前瞻性陈述的意图或义务。

Cindy French
Chief Financial Officer
ParkerVision, Inc
cfrench@parkervision.com

辛迪·弗伦奇
首席财务官
ParkerVision,Inc.
邮箱:cfrch@parkervision.com

(TABLES FOLLOW)

(各表如下)

ParkerVision, Inc.
Balance Sheet Highlights

ParkerVision,Inc.
资产负债表亮点

(unaudited)
(in thousands)
June 30,
2023
December 31,
2022
Cash and cash equivalents
$ 4,200 $ 109
Prepaid expenses and other current assets
133 274
Intangible assets & other noncurrent assets
1,197 1,368
Total assets
5,530 1,751
Current liabilities
3,114 2,257
Contingent payment obligations
33,795 45,797
Convertible notes, net of current portion
3,418 3,913
Other long-term liabilities
407 473
Shareholders' deficit
(35,204 ) (50,689 )
Total liabilities and shareholders' deficit
$ 5,530 $ 1,751
(未经审计)
(单位:千)
6月30日,
2023年
十二月三十一日,
2022
现金和现金等价物
$ 4,200 $ 一百零九
预付费用和其他流动资产
一百三十三 二百七十四
无形资产和其他非流动资产
1197 1368
总资产
5530 1,751
流动负债
3,114 2257
或有付款债务
33,795 45,797
可转换票据,扣除本期部分
3418 3913
其他长期负债
四零七 四百七十三
股东亏损
(35,204) ) (50689 )
总负债和股东赤字
$ 5530 $ 1,751

ParkerVision, Inc.
Summary Results of Operations (unaudited)

ParkerVision,Inc.
行动结果摘要 (未经审计)

Three Months Ended Six Months Ended
(in thousands, except per share amounts)
June 30, June 30,
2023 2022 2023 2022
Licensing revenue
$ - $ - $ 25,000 $ -
Cost of sales
(63 ) (3 ) (106 ) (6 )
Gross margin
(63 ) (3 ) 24,894 (6 )
Selling, general and administrative expenses
1,125 1,652 13,210 3,585
Total operating expenses
1,125 1,652 13,210 3,585
Interest expense and other
(107 ) (44 ) (213 ) (78 )
Change in fair value of contingent payment obligations
2,728 (2,699 ) 3,077 (397 )
Total other income (expense), net
2,621 (2,743 ) 2,864 (475 )
Net income (loss)
$ 1,433 $ (4,398 ) $ 14,548 $ (4,066 )
Basic earnings per common share
$ 0.02 $ (0.06 ) $ 0.17 $ (0.05 )
Diluted earnings per common share
$ 0.01 $ (0.06 ) $ 0.12 $ (0.05 )
Weighted average shares outstanding
Basic
85,263 77,970 84,570 77,763
Diluted
120,061 77,970 119,700 77,763
截至三个月 截至六个月
(以千为单位,每股除外)
6月30日, 6月30日,
2023年 2022 2023年 2022
许可收入
$ - $ - $ 25,000 $ -
销售成本
(63) ) (3) ) (106) ) (6) )
毛利率
(63) ) (3) ) 24,894 (6) )
销售、一般和行政费用
1,125 1,652 13,210 3585
总运营费用
1,125 1,652 13,210 3585
利息支出和其他
(107) ) (44) ) (213) ) (78) )
或有付款债务的公允价值变动
2728 (2,699 ) 3077 (397 )
其他收入(费用)合计,净额
2621 (2,743 ) 2864 (475) )
净收益(亏损)
$ 1,433 $ (4,398 ) $ 14,548 $ (4,066 )
基本每股普通股收益
$ 0.02 $ (0.06 ) $ 0.17 $ (0.05 )
稀释后每股普通股收益
$ 0.01 $ (0.06 ) $ 0.12 $ (0.05 )
加权平均流通股
基本信息
85,263 77,970 84,570 77,763
稀释
120,061 77,970 119,700人 77,763

ParkerVision, Inc.
Summary of Cash Flows
(unaudited)

ParkerVision,Inc.
现金流量摘要
(未经审计)

Six Months Ended
(in thousands)
June 30,
2023 2022
Net cash provided by (used in) operating activities
$ 12,266 $ (1,609 )
Net cash used in investing activities
(1 ) (4 )
Net cash (used in) provided by financing activities
(8,174 ) 1,429
Net increase (decrease) in cash and cash equivalents
4,091 (184 )
Cash and cash equivalents - beginning of period
109 1,030
Cash and cash equivalents - end of period
$ 4,200 $ 846
截至六个月
(单位:千)
6月30日,
2023年 2022
经营活动提供(用于)的现金净额
$ 12,266 $ (1,609 )
用于投资活动的现金净额
(1 ) (4 )
融资活动提供的现金净额(用于)
(8,174 ) 1429
现金及现金等价物净增(减)
4091 (184) )
现金和现金等价物--期初
一百零九 1030
现金和现金等价物--期末
$ 4,200 $ 八百四十六

SOURCE: ParkerVision, Inc.

资料来源:ParkerVision,Inc.


View source version on accesswire.com:
在accesswire.com上查看源代码版本:

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