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Clairvest Reports Fiscal 2024 Third Quarter Results

Clairvest Reports Fiscal 2024 Third Quarter Results

Clairvest 公布2024财年第三季度业绩
GlobeNewswire ·  02/13 18:27

TORONTO, Feb. 13, 2024 (GLOBE NEWSWIRE) -- Clairvest Group Inc. (TSX: CVG) today reported results for the fiscal 2024 third quarter and nine months ended December 31, 2023. (All figures are in Canadian dollars unless otherwise stated)

多伦多,2024年2月13日(GLOBE NEWSWIRE)——Clairvest Group Inc.(多伦多证券交易所股票代码:CVG)今天公布了截至2023年12月31日的2024财年第三季度和九个月的业绩。 (除非另有说明,所有数字均以加元计算)

Highlights

亮点

  • December 31, 2023 book value was $1,150.3 million or $78.38 per share compared with $1,181.0 million or $78.61 per share as at September 30, 2023
  • Net loss for the quarter ended December 31, 2023 was $5.0 million or $0.34 per share
  • Net loss for the nine months ended December 31, 2023 was $29.5 million or $1.97 per share
  • Clairvest repurchased for cancellation 340,100 shares from a passive shareholder for a total cost of $25.2 million
  • 2023年12月31日的账面价值为11.503亿美元,合每股78.38美元,而截至2023年9月30日,账面价值为11.81亿美元,合每股78.61美元
  • 截至2023年12月31日的季度净亏损为500万美元,合每股亏损0.34美元
  • 截至2023年12月31日的九个月净亏损为2950万美元,合每股亏损1.97美元
  • Clairvest从被动股东手中回购了340,100股股票以供注销,总成本为2520万美元

Clairvest's book value was $1,150.3 million or $78.38 per share as at December 31, 2023, compared with $1,181.0 million or $78.61 per share as at September 30, 2023. For the quarter ended December 31, 2023, Clairvest recorded a net loss of $5.0 million, or $0.34 per share, which was primarily driven by a net decrease in the valuation of Clairvest's private equity investment portfolio. Also during the quarter, Clairvest purchased and cancelled 349,300 common shares at an average price of $74/share, or a total cost of $25.8 million, which added $0.11 per share to the book value.

截至2023年12月31日,Clairvest的账面价值为11.503亿美元,合每股78.38美元,而截至2023年9月30日,Clairvest的账面价值为11.81亿美元,合每股78.61美元。在截至2023年12月31日的季度中,Clairvest录得500万美元的净亏损,合每股亏损0.34美元,这主要是由Clairvest私募股权投资组合估值的净下降所致。同样在本季度,Clairvest以每股74美元的平均价格购买和取消了349,300股普通股,总成本为2580万美元,每股账面价值增加了0.11美元。

For the nine months ended December 31, 2023, Clairvest recorded a net loss of $29.5 million, or $1.97 per share. The net loss for the nine months was primarily driven by a net decrease in the valuation of Clairvest's private equity investment portfolio over the corresponding period, net of one investment realization which was recorded in the second quarter of fiscal 2024.

在截至2023年12月31日的九个月中,Clairvest的净亏损为2950万美元,合每股亏损1.97美元。九个月的净亏损主要是由Clairvest私募股权投资组合估值在同期净下降所致,减去了2024财年第二季度记录的一笔投资变现。

"We continue to be in a tricky and inconsistent economic environment. On one hand, many of our portfolio companies are doing terrific, growing top and bottom line ahead of market growth. In contrast, others are struggling with various operating issues, higher interest expense, cost inflation in specific categories and sluggish top line growth, depending on the sector. In aggregate, the combination of issues, along with the regulatory setback we faced in India, has stagnated growth in our book value per share over the last 1 1⁄2 years. On the new deal front, after a slow start to the fiscal year, activity has picked up as bid-ask spreads have narrowed. Clairvest liquidity remains very strong and we are excited to be investing capital at this time," said Ken Rotman, CEO & Managing Director of Clairvest.

“我们仍然处于棘手且不稳定的经济环境中。一方面,我们的许多投资组合公司表现出色,在市场增长之前实现了收入和利润的增长。相比之下,其他人正在为各种运营问题、更高的利息支出、特定类别的成本通胀以及收入增长缓慢而苦苦挣扎,具体视行业而定。总体而言,在过去的1 1/2年中,各种问题加上我们在印度面临的监管挫折,使我们每股账面价值的增长停滞不前。在新协议方面,在本财年开局缓慢之后,随着买卖利差的缩小,活动有所回升。Clairvest的流动性仍然非常强劲,我们很高兴此时能进行资本投资。” Clairvest首席执行官兼董事总经理肯·罗特曼说。

Summary of Financial Results – Unaudited
Financial Results
Quarter ended Nine months ended
December 31 December 31
2023 2022 2023 2022
($000's, except per share amounts) $ $ $ $
Net investment loss (19,116) (26,504) (41,409) (50,013)
Net carried interest from Clairvest Equity Partners III and IV 892 2,539 2,695 7,542
Distributions, interest income, dividends and fees 14,319 79,111 40,439 166,371
Total expenses, excluding income taxes 2,168 13,904 38,232 47,433
Net income (loss) and comprehensive income (loss) (4,950) 37,461 (29,456) 66,207
Basic and fully diluted net income (loss) per share (0.34) 2.49 (1.97) 4.40
财务业绩摘要 — 未经审计
财务业绩
季度已结束 九个月已结束
12 月 31 日 12 月 31 日
2023 2022 2023 2022
(000美元,每股金额除外) $ $ $ $
净投资损失 (19,116) (26,504) (41,409) (50,013)
Clairvest Equity Partners III 和 IV 的净附带 892 2,539 2,695 7,542
分配、利息收入、股息和费用 14,319 79,111 40,439 166,371
总支出,不包括所得税 2,168 13,904 38,232 47,433
净收益(亏损)和综合收益(亏损) (4,950) 37,461 (29,456) 66,207
基本和全面摊薄后的每股净收益(亏损) (0.34) 2.49 (1.97) 4.40
Financial Position
December 31 March 31,
2023 2023
($000's, except share information and per share amounts) $ $
Total assets 1,315,004 1,429,651
Total cash, cash equivalents, temporary investments and restricted cash 327,551 390,832
Carried interest from Clairvest Equity Partners III and IV 51,183 49,314
Corporate investments(1) 830,110 891,709
Total liabilities 164,737 211,924
Management participation from Clairvest Equity Partners III and IV 40,625 38,365
Book value(2) 1,150,267 1,217,727
Common shares outstanding 14,674,701 15,024,001
Book value per share(2) 78.38 81.05
财务状况
12 月 31 日 3月31日
2023 2023
(000美元,股票信息和每股金额除外) $ $
总资产 1,315,004 1,429,651
现金、现金等价物、临时投资和限制性现金总额 327,551 390,832
Clairvest Equity Partners III 和 IV 的附 51,183 49,314
企业投资(1) 830,110 891,709
负债总额 164,737 211,924
Clairvest Equity Partners III 和 IV 管理层 40,625 38,365
账面价值(2) 1,150,267 1,217,727
已发行普通股 14,674,701 15,024,001
每股账面价值(2) 78.38 81.05

(1) Includes carried interest of $134,639 (March 31: $151,161) and management participation of $97,865 (March 31: $112,280) from Clairvest Equity Partners V and VI, and $90,240 (March 31: $102,256) in cash, cash equivalents and temporary investments held by Clairvest's acquisition entities.
(2) Book value is a Non-IFRS measure calculated as the value of total assets less the value of total liabilities.

(1) 包括来自Clairvest Equity PartnersV和VI的134,639美元(3月31日:151,161美元)的附带利息和97,865美元(3月31日:112,280美元)的管理层参与,以及Clairvest收购实体持有的90,240美元(3月31日:102,256美元)的现金、现金等价物和临时投资。
(2) 账面价值是一种非国际财务报告准则衡量标准,计算方法是总资产的价值减去总负债的价值。

Clairvest's third quarter fiscal 2024 financial statements and MD&A are available on the SEDAR website at and the Clairvest website at .

Clairvest的2024财年第三季度财务报表和管理及分析可在SEDAR网站上查阅,网址为Clairvest网站,网址为。

About Clairvest
Clairvest's mission is to partner with entrepreneurs to help them build strategically significant businesses. Founded in 1987 by a group of successful Canadian entrepreneurs, Clairvest is a top performing private equity management firm with over CAD $4.3 billion of capital under management. Clairvest invests its own capital and that of third parties through the Clairvest Equity Partners limited partnerships in owner-led businesses. Under the current management team, Clairvest has initiated investments in 64 different platform companies and generated top quartile performance over an extended period.

关于 Clairvest
Clairvest的使命是与企业家合作,帮助他们建立具有战略意义的业务。Clairvest由一群成功的加拿大企业家于1987年创立,是一家表现最好的私募股权管理公司,管理的资本超过43亿加元。Clairvest通过Clairvest Equity Partners有限合伙企业将自有资本和第三方的资本投资于所有者主导的企业。在现任管理团队的领导下,Clairvest已开始对64家不同的平台公司进行投资,并在很长一段时间内实现了前四分之一的业绩。

Contact Information

联系信息

Stephanie Lo
Director of Investor Relations and Marketing
Clairvest Group Inc.
Tel: (416) 925-9270
Fax: (416) 925-5753
stephaniel@clairvest.com

Stephanie Lo
投资者关系和营销总监
Clairvest 集团公司
电话:(416) 925-9270
传真:(416) 925-5753
stephaniel@clairvest.com

Forward-looking Statements
This news release contains forward-looking statements with respect to Clairvest Group Inc., its subsidiaries, its CEP limited partnerships and their investments. These statements are based on current expectations and are subject to known and unknown risks, uncertainties and other factors which may cause the actual results, performance or achievements of Clairvest, its subsidiaries, its CEP limited partnerships and their investments to be materially different from any future results, performance or achievements expressed or implied by such forward-looking statements. Such factors include general and economic business conditions and regulatory risks. Clairvest is under no obligation to update any forward-looking statements contained herein should material facts change due to new information, future events or otherwise.

前瞻性陈述
本新闻稿包含有关Clairvest Group Inc.、其子公司、其CEP有限合伙企业及其投资的前瞻性陈述。这些陈述基于当前的预期,受已知和未知的风险、不确定性和其他因素的影响,这些因素可能导致Clairvest、其子公司、CEP有限合伙企业及其投资的实际业绩、业绩或成就与此类前瞻性陈述所表达或暗示的任何未来业绩、业绩或成就存在重大差异。这些因素包括总体和经济业务状况以及监管风险。如果重大事实因新信息、未来事件或其他原因而发生变化,Clairvest没有义务更新此处包含的任何前瞻性陈述。


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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