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Hypercharge Networks Corp. Announces Unaudited Financial Results for the Three Months and Six Months Ended September 30, 2023

Hypercharge Networks Corp. Announces Unaudited Financial Results for the Three Months and Six Months Ended September 30, 2023

Hypercharge Networks Corp. 公布截至2023年9月30日的三个月和六个月的未经审计的财务业绩
newsfile ·  2023/11/15 06:00

Vancouver, British Columbia--(Newsfile Corp. - November 14, 2023) - Hypercharge Networks Corp. (NEO: HC) (OTCQB: HCNWF) (FSE: PB7) (the "Company" or "Hypercharge"), a leading, smart electric vehicle (EV) charging solutions provider, is announcing the release of its unaudited financial results for the three months and six months ended September 30, 2023. All dollar figures are in Canadian Dollars, unless otherwise stated.

不列颠哥伦比亚省温哥华--(新闻文件公司-2023 年 11 月 14 日)- 超充网络公司NEO: HC)(OTCQB:HCNWF)(FSE: PB7) (那个”公司“或”超充电“),领先的智能电动汽车(EV)充电解决方案提供商,宣布发布截至2023年9月30日的三个月和六个月的未经审计的财务业绩。除非另有说明,否则所有美元数字均以加元为单位。

Financial Highlights (for the three months ended September 30, 2023):

财务亮点(截至2023年9月30日的三个月):

For the three months ended September 30, 2023, the Company's revenue was $921,783, an increase of 148% compared to $371,081 in the three months ended August 31, 2022. Operating expenses increased from $1,262,329 in the comparable period to $2,122,982 (an increase of 68%) for the three months ended September 30, 2023. Operating expenses are comprised of general and administrative expenses, sales and marketing expenses and research and development. The increased operating expenses of $860,653 during the three months ended September 30, 2023 are attributable to $294,334 in non-recurring expenses, $192,661 in non-cash expenses and $373,658 in increased direct and variable costs.

在截至2023年9月30日的三个月中,该公司的收入为921,783美元,与截至2022年8月31日的三个月的371,081美元相比增长了148%。截至2023年9月30日的三个月,运营费用从同期的1,262,329美元增加到2,122,982美元(增长68%)。运营费用包括一般和管理费用、销售和营销费用以及研发费用。在截至2023年9月30日的三个月中,运营支出增加860,653美元,这归因于294,334美元的非经常性支出、192,661美元的非现金支出以及373,658美元的直接和可变成本的增加。

Financial Highlights (for the six months ended September 30, 2023):

财务亮点(截至2023年9月30日的六个月):

For the six months ended September 30, 2023, the Company's revenue was $1,422,807, an increase of 223% compared to $439,916 in the six months ended August 31, 2022. Operating expenses increased from $2,560,626 in the comparable period to $4,548,878 (an increase of 78%) for the six months ended September 30, 2023. The increase in operating expenses of $1,988,252 during the six months ended September 30, 2023, are attributable to $385,842 in non-recurring expenses, $383,679 in non-cash expenses and $1,218,631 in increased direct and variable costs.

在截至2023年9月30日的六个月中,该公司的收入为1,422,807美元,与截至2022年8月31日的六个月的439,916美元相比增长了223%。截至2023年9月30日的六个月中,运营费用从同期的2560,626美元增加到4548,878美元(增长78%)。在截至2023年9月30日的六个月中,运营支出增加了1,988,252美元,这归因于385,842美元的非经常性支出、383,679美元的非现金支出以及1,218,631美元的直接和可变成本的增加。

Total assets as at September 30, 2023 were $9,148,612, (a 43% increase from $6,404,576 for the year ended March 31, 2023). As at September 30, 2023, the Company had cash and cash equivalents of $5,222,730.

截至2023年9月30日,总资产为9,148,612美元(较截至2023年3月31日止年度的6,404,576美元增长了43%)。截至2023年9月30日,该公司的现金及现金等价物为5,222,730美元。

"We are pleased to report the unaudited financial results for the three months and six months ended September 30, 2023," said David Bibby, President and CEO of Hypercharge. "With triple digit revenue growth percentages and a growing sales backlog in both comparable periods, we thank our growing customer base for their support as we continue on our growth journey."

Hypercharge总裁兼首席执行官戴维·比比表示:“我们很高兴地报告截至2023年9月30日的三个月零六个月未经审计的财务业绩。”“在两个可比时期,收入增长百分比为三位数,积压的销售额不断增加,我们感谢不断增长的客户群在我们继续发展过程中给予的支持。”

Business and Pipeline Highlights (for the three months ended September 30, 2023):

业务和渠道亮点(截至2023年9月30日的三个月):

  • Processed sales orders for 413 charging ports in the three months ended September 30, 2023 and over 2,600 charging ports since commencing business operations in June 2021.

  • Sold and delivered 280 charging ports in the three months ended September 30, 2023 and over 1,300 charging ports since commencing business operations in June 2021.

  • Increased sales backlog by 265 charging ports. The Company expects phased delivery of these chargers beginning in 2024.

  • Activated ten (10) new strategic partnerships assisting with installation of chargers, that facilitate entry into new markets. This increases the Company's total number of strategic partnerships to 54.

  • Reduced general and administration expenditures by $400,420 (22%) and $325,478 (18%) compared to the three months ended June 30, 2023, and March 31, 2023, respectively. As such, the Company strategically reallocated these resources and doubled its investment in sales and marketing initiatives and research and development efforts over the same period.

  • Selected by Natural Resources Canada's Zero-Emission Vehicle Infrastructure Program ("ZEVIP") to support the growth of EV charging infrastructure and further the adoption of electric vehicles in Ontario. The ZEVIP funding of $229,356 will subsidize the cost of 48 Level 2 EV chargers across 11 parking lots.

  • 在截至2023年9月30日的三个月中,处理了413个充电端口的销售订单,自2021年6月开始业务运营以来,处理了2600多个充电端口的销售订单。

  • 在截至2023年9月30日的三个月中销售和交付了280个充电端口,自2021年6月开始业务运营以来,已售出并交付了1300多个充电端口。

  • 增加了 265 个充电端口,积压的销售额增加了。该公司预计,这些充电器将从2024年开始分阶段交付。

  • 启动了十(10)个新的战略合作伙伴关系,以协助安装充电器,从而促进进入新市场。这使公司的战略合作伙伴关系总数增加到54个。

  • 与截至2023年6月30日和2023年3月31日的三个月相比,一般和行政支出分别减少了400,420美元(22%)和325,478美元(18%)。因此,公司战略性地重新分配了这些资源,并在同期将其对销售和营销计划以及研发工作的投资翻了一番。

  • 被加拿大自然资源部的零排放车辆基础设施计划(“ZEVIP”)选中,以支持电动汽车充电基础设施的发展并进一步促进安大略省对电动汽车的采用。ZEVIP的229,356美元资金将补贴11个停车场的48个二级电动汽车充电器的费用。

Summary of Key Financial Measures:

关键财务措施摘要:

A summary of selected financial information for the three months ended September 30, 2023, and the three months ended August 31, 2022, is as follows:

截至2023年9月30日的三个月和截至2022年8月31日的三个月的部分财务信息摘要如下:

Three months ended Three months ended
September 30, 2023 August 31, 20221
Revenue $ 921,783 $ 371,081
Gross Margin 32% 39%
Comprehensive loss $ (1,798,692 ) $ (3,361,491 )
Basic and diluted loss per share $ (0.03 ) $ (0.07 )
三个月已结束 三个月已结束
2023年9月30日 2022年8月31日1
收入 $ 921,783 $ 371,081
毛利率 32% 39%
综合损失 $ (1,798,692) ) $ (3,361,491 )
每股基本亏损和摊薄亏损 $ (0.03 ) $ (0.07 )

1As a result of the Company's change in year-end, the comparative period reflects the three months ended August 31, 2022.

1由于公司年终变动,比较期反映了截至2022年8月31日的三个月。

For more information, please refer to the Company's management's discussion & analysis and the Company's unaudited condensed consolidated interim financial statements for the three- and six-months ended September 30, 2023 and August 31, 2022. These documents are available on the Company's website at , and under the Company's SEDAR profile at .

欲了解更多信息,请参阅公司管理层的讨论与分析,以及公司截至2023年9月30日和2022年8月31日的三个月和六个月未经审计的简明合并中期财务报表。这些文件可在公司的网站上找到,也可以在公司的SEDAR简介下找到。

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About Hypercharge

关于超级充电

Hypercharge Networks Corp. (NEO: HC) (OTCQB: HCNWF) (FSE: PB7) is a leading provider of smart electric vehicle (EV) charging solutions that offers turnkey technology to multi-unit residential and commercial buildings, fleet operations, and other rapidly growing sectors. Driven by its mission to accelerate EV adoption and enable the shift towards a carbon neutral economy, Hypercharge is committed to providing seamless, simple charging solutions by offering industry-leading equipment and a robust network of public and private charging stations. Learn more: .

Hypercharge Networks Corp.(NEO:HC)(OTCQB:HCNWF)(FSE:PB7)是智能电动汽车(EV)充电解决方案的领先提供商,为多单元住宅和商业建筑、车队运营和其他快速增长的领域提供一站式技术。Hypercharge的使命是加快电动汽车的普及并实现向碳中和经济的转变,致力于通过提供行业领先的设备和强大的公共和私人充电站网络来提供无缝、简单的充电解决方案。了解更多:.

On behalf of the Company,

代表公司,

Hypercharge Networks Corp.
David Bibby, President & CEO

超充网络公司
大卫·比比,总裁兼首席执行官

Investor Relations:
invest@hypercharge.com

投资者关系:
invest@hypercharge.com

Media Contact:
Kyle Kingsnorth | Senior Marketing Manager
kyle.kingsnorth@hypercharge.com

媒体联系人:
凯尔·金斯诺斯 | 高级营销经理
kyle.kingsnorth@hypercharge.com

Forward-Looking Statements

前瞻性陈述

This news release contains forward-looking statements and forward-looking information (collectively, "forward-looking statements") within the meaning of applicable securities laws. Any statements that are contained in this news release that are not statements of historical fact may be deemed to be forward-looking statements. Forward-looking statements are often identified by terms such as "may", "could", "should", "anticipate", "will", "estimates", "believes", "intends", "expects" and similar expressions which are intended to identify forward-looking statements. More particularly and without limitation, this news release contains forward-looking statements concerning the Company's growth, commercial developments, delivery timeliness and revenue recognition. Forward-looking statements are inherently uncertain, and the actual performance may be affected by a number of material factors, assumptions and expectations, many of which are beyond the control of the Company. Readers are cautioned that assumptions used in the preparation of any forward-looking statements may prove to be incorrect. Events or circumstances may cause actual results to differ materially from those predicted as a result of numerous known and unknown risks, uncertainties and other factors, many of which are beyond the control of the Company. Readers are further cautioned not to place undue reliance on any forward-looking statements, as such information, although considered reasonable by management of the Company at the time of preparation, may prove to be incorrect and actual results may differ materially from those anticipated.

本新闻稿包含前瞻性陈述和前瞻性信息(统称为”前瞻性陈述“)在适用的证券法的含义范围内。本新闻稿中包含的任何非历史事实陈述的陈述均可被视为前瞻性陈述。前瞻性陈述通常由 “可能”、“可能”、“应该”、“预期”、“将”、“估计”、“相信”、“打算”、“期望” 等术语以及旨在识别前瞻性陈述的类似表述来识别。更具体地说,不限于,本新闻稿包含有关公司增长、商业发展、交付及时性和收入确认的前瞻性陈述。前瞻性陈述本质上是不确定的,实际业绩可能会受到许多重大因素、假设和预期的影响,其中许多是公司无法控制的。请读者注意,在准备任何前瞻性陈述时使用的假设都可能被证明是不正确的。由于许多已知和未知的风险、不确定性和其他因素,其中许多因素是公司无法控制的,事件或情况可能导致实际业绩与预测存在重大差异。还提醒读者不要过分依赖任何前瞻性陈述,因为尽管公司管理层在编写前瞻性陈述时认为此类信息是合理的,但可能会被证明是不正确的,实际结果可能与预期存在重大差异。

The forward-looking statements contained in this news release are made as of the date of this news release, and are expressly qualified by the foregoing cautionary statement. Except as expressly required by securities law, the Company undertakes no obligation to update publicly or to revise any of the included forward-looking statements, whether as a result of new information, future events or otherwise.

本新闻稿中包含的前瞻性陈述自本新闻稿发布之日起作出,并受上述警示声明的明确限制。除非证券法明确要求,否则公司没有义务公开更新或修改所包含的任何前瞻性陈述,无论是由于新信息、未来事件还是其他原因。

Neither the NEO Exchange nor its Market Regulator (as that term is defined in policies of the NEO Exchange) accepts responsibility for the adequacy or accuracy of this news release.

NEO交易所及其市场监管机构(该术语在NEO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

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