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BluMetric Announces Q1 2024 Financial Results

BluMetric Announces Q1 2024 Financial Results

BluMetric 公布 2024 年第一季度财务业绩
newsfile ·  02/29 07:00

Ottawa, Ontario--(Newsfile Corp. - February 29, 2024) - BluMetric Environmental Inc. (TSXV: BLM) ("BluMetric" or "the Company"), a full-service environmental consulting and engineering cleantech firm, announces its financial results for the first quarter ended December 31, 2023.

安大略省渥太华--(Newsfile Corp.,2024年2月29日)——提供全方位服务的环境咨询和工程清洁技术公司BluMetric Environmental Inc.(TSXV:BLM)(“BluMetric” 或 “公司”)公布了截至2023年12月31日的第一季度财务业绩。

Financial Highlights

财务要闻

  • Gross margin for the quarter ended December 31, 2023, was 42% compared to 32% (as restated; see note below) for the same quarter in the previous year.
  • Revenue for the quarter ended December 31, 2023, was $8.5 million compared to $10.5 million for the same period in 2022.
  • EBITDA (see definition below) for the quarter ended December 31, 2023, was $0.6 million, compared to $0.9 million in the same quarter of the previous year.
  • Net earnings for the quarter ended December 31, 2023, was $0.2 million compared to $0.5 million in the same quarter of the previous year.
  • Working capital (see definition below) as at December 31, 2023 was $11.2 million, compared to $11.4 million as at December 30, 2022.
  • Net cash (see definition below) as at December 31, 2023 was $0.8 million, compared to net cash of $2.9 million at December 31, 2022. The Company expects an increase in its net cash as it is awaiting a large payment from a government client whose fiscal year end is March 31.
  • Sales orders closed during the trailing twelve month period ending December 31, 2023 of $50.6 million.
  • 毛利率 截至2023年12月31日的季度为42%,而去年同期为32%(重申;见下文注释)。
  • 收入 截至2023年12月31日的季度为850万美元,而2022年同期为1,050万美元。
  • 税前利润 截至2023年12月31日的季度(见下文定义)为60万美元,而去年同期为90万美元。
  • 净收益 截至2023年12月31日的季度为20万美元,而去年同期为50万美元。
  • 营运资金 (见下文定义)截至2023年12月31日为1,120万美元,而截至2022年12月30日为1,140万美元。
  • 净现金 (见下文定义)截至2023年12月31日为80万美元,而截至2022年12月31日的净现金为290万美元。该公司预计,其净现金将增加,因为它正在等待财政年度截至3月31日的政府客户的巨额付款。
  • 销售订单 在截至2023年12月31日的过去十二个月期间收盘价为5,060万美元。

"We had a good start to the year showcased by our continued profitability and gross margins reflecting more ideal contracts," stated Scott MacFabe, CEO at BluMetric Environmental Inc. "While maintaining a long-term focus on profitability and a robust balance sheet, we continue to strike a balance by making strategic investments for growth. The next twelve months will be an important period as we execute on our record backlog, aim to expand the geographical reach of our cleantech systems, and explore potential acquisitions."

BluMetric Environmental Inc.首席执行官斯科特·麦克法布表示:“我们持续的盈利能力和毛利率反映了更理想的合同,这表明我们今年有了一个良好的开端。在长期关注盈利能力和强劲的资产负债表的同时,我们继续通过为增长进行战略投资来实现平衡。接下来的十二个月将是一个重要时期,我们将处理创纪录的待办事项,旨在扩大清洁技术系统的地域覆盖范围,并探索潜在的收购。”

Business Outlook

商业展望

This quarter continued to demonstrate management's commitment to sustainable profitability while simultaneously investing in future growth and resiliency. The Company believes that its financial position, consisting of adequate working capital and minimal debt, offers the ability to deliver on its record order backlog.

本季度继续表明管理层对可持续盈利能力的承诺,同时投资于未来的增长和弹性。该公司认为,其财务状况,包括充足的营运资金和最少的债务,有能力交付创纪录的积压订单。

With the addition of key sales personnel in 2023, along with the growth of cleantech business in Atlantic Canada, BluMetric established a satellite office. The office will support BluMetric's business development and the service and support of its key clients in the region. This ongoing investment in the Company's cleantech water systems aims to enhance both geographical reach and personnel capabilities in engineering and operations.

随着2023年关键销售人员的增加,以及加拿大大西洋地区清洁技术业务的增长,BluMetric建立了卫星办公室。该办公室将支持BluMetric的业务发展以及对该地区主要客户的服务和支持。对公司清洁技术水系统的持续投资旨在扩大地理覆盖范围以及工程和运营方面的人员能力。

In addition, BluMetric has launched a new Operations and Maintenance (O&M) division, which will deploy an expanding team of field service representatives across Canada and the globe.

此外,BluMetric 还成立了新的运营和维护 (O&M) 部门,该部门将在加拿大和全球范围内部署一支不断扩大的现场服务代表团队。

Subsequent to the quarter, BluMetric announced a $5.3 million extension for a service and support contract for Canada's Department of National Defence Reverse Osmosis Water Purification Units (ROWPU), which is expected to be delivered in calendar year 2024. In addition, the Company won an $0.4 million proof of concept contract from a multinational defence contractor to optimize onboard potable water quality.

本季度之后,BluMetric宣布延长加拿大国防部反渗透净水装置(ROWPU)的530万加元的服务和支持合同,该合同预计将于2024日历年交付。此外,该公司还赢得了一家跨国国防承包商签订的40万美元概念验证合同,以优化船上饮用水质量。

These contracts highlight the Company's versatile cleantech service capabilities which extend across both land and sea applications. They are also an important part of the overall growth strategy to build a larger base of recurring and higher margin revenues.

这些合同突显了该公司的多功能清洁技术服务能力,涵盖陆地和海上应用。它们也是总体增长战略的重要组成部分,该战略旨在建立更大的经常性和更高利润的收入基础。

Overall, BluMetric sees upcoming quarters focused on execution to capitalize on opportunities through its recognizable presence in environmental consulting services and clean water technologies.

总体而言,BluMetric预计未来几个季度将重点放在执行上,通过其在环境咨询服务和清洁水技术领域的知名度来抓住机遇。

Financial Table

财务表


Three Months Ended
December 30, 2023
Three Months Ended
December 30, 2022
(restated1)

($000) ($000)
Revenue 8,525 10,478
Gross profit 3,584 3,396
Gross margin 42% 32%
Operating expenses 3,148 2,620
Operating profit 436 776
Finance costs 57 21
Earnings before provision for income tax 378 755
Income tax expense (recovery) 137 299
Net earnings 241 456
Earnings per share – basic and diluted 0.01 0.02
EBITDA2 613 920
Free cash flow3 386 536
Working capital4 11,194 11,394
Net cash (debt)5 757 2,216

三个月已结束
2023年12月30日
三个月已结束
2022年12月30日
(重申1)

(000 美元) (000 美元)
收入 8,525 10,478
毛利 3,584 3,396
毛利率 42% 32%
运营费用 3,148 2,620
营业利润 436 776
财务成本 57 21
所得税准备金前的收益 378 755
所得税支出(回收) 137 299
净收益 241 456
每股收益——基本收益和摊薄后收益 0.01 0.02
EBITDA2 613 920
自由现金流3 386 536
营运资金4 11,194 11,394
净现金(债务)5 757 2,216

Note 1: During the preparation of the financial statements for the period ended December 31, 2023, the Company determined that the indirect labour costs that do not contribute to revenue generating projects should be reclassified as overhead expenses under the Sales, general and administrative caption. The Company had previously accounted for the amounts under the Cost of sales caption. There is no effect on basic or diluted net earnings per share.

注1:在编制截至2023年12月31日的财务报表时,公司确定应将不利于创收项目的间接劳动力成本重新归类为销售、一般和管理标题下的管理费用。该公司此前曾在 “销售成本” 标题下核算过这笔款项。对基本或摊薄后的每股净收益没有影响。

Note 2: EBITDA represents net income before interest expense, income taxes, depreciation of property and equipment, and amortization of intangible assets. The Company uses this measure as part of assessing operating performance. There is no direct comparable IFRS measure for EBITDA.

注2:息税折旧摊销前利润是指扣除利息支出、所得税、财产和设备折旧以及无形资产摊销前的净收益。公司使用该衡量标准作为评估经营业绩的一部分。没有直接可比的《国际财务报告准则》衡量息税折旧摊销前利润的指标。

Note 3: Free cash flow is a non-IFRS measure and is calculated as operating cash flows less net capital expenditures and net payment of lease obligations.

注3:自由现金流是非国际财务报告准则的衡量标准,计算方法是运营现金流减去净资本支出和租赁债务的净付款。

Note 4: Working capital is a non-IFRS measure and is calculated by subtracting current liabilities from current assets. There is no directly comparable measure under IFRS.

注4:营运资金是非国际财务报告准则衡量标准,通过从流动资产中减去流动负债来计算。根据国际财务报告准则,没有直接可比的衡量标准。

Note 5: Net cash (debt) is a non-IFRS measure and is calculated as cash less total funded debt excluding lease liabilities. The Company uses this measure as part of assessing liquidity. There is no directly comparable measure under IFRS.

注5:净现金(债务)是非国际财务报告准则衡量标准,计算方法是现金减去不包括租赁负债的融资债务总额。公司使用该衡量标准作为评估流动性的一部分。根据国际财务报告准则,没有直接可比的衡量标准。

The full results are available at sedarplus.ca.

完整结果可在sedarplus.ca上查阅。

Pursuant to the Company's Board compensation policy, BluMetric has granted options of 199,000 common shares to Directors and Employees of the Company. These options are granted effective February 28, 2024, vest over two years, and are exercisable into common shares of BluMetric at a price of $0.48 per share for a period of seven years.

根据公司的董事会薪酬政策,BluMetric已向公司董事和员工授予了199,000股普通股的期权。这些期权自2024年2月28日起授予,在两年内归属,并可按每股0.48美元的价格行使BluMetric的普通股,为期七年。

BluMetric to Host Investor Conference Call
BluMetric will host a conference call today on Thursday, February 29, 2024, at 1:00 PM ET (10:00 AM PT) to discuss the results. To join the conference call without operator assistance, enter your details and phone number at for an instant callback. While we recommend joining closer to the start time, participants can join up to 30 minutes early, connecting to the call with hold music until the scheduled start.

BluMetric 将举办投资者电话会议
BluMetric 将于今天主持电话会议 美国东部时间 2024 年 2 月 29 日星期四下午 1:00(太平洋时间上午 10:00) 来讨论结果。要在没有接线员协助的情况下加入电话会议,请在上输入您的详细信息和电话号码以进行即时回电。虽然我们建议在接近开始时间时加入,但参与者最多可以提前 30 分钟加入,在预定开始之前按住音乐接通电话。

You can also dial directly to be entered into the call by an Operator. Please dial 1-888-664-6392 (Toll-Free North America) and enter confirmation number 57247649.

您也可以直接拨号,让接线员进入通话。请拨打 1-888-664-6392 (北美免费电话),然后输入 确认号码 57247649

About BluMetric Environmental Inc.

关于 BluMetric 环境公司

BluMetric Environmental Inc. is a publicly traded environmental consulting and engineering company with expertise across professional and trade disciplines and technologies that allow for the design, fabrication and delivery of sustainable solutions to environmental and water challenges. BluMetric has more than 175 employees operating in ten offices and over 45 years of expertise. Headquartered in Ottawa, Ontario, BluMetric's team of industry experts serves Commercial and Industrial, Military, Mining and Government clients.

BluMetric Environmental Inc. 是一家上市的环境咨询和工程公司,拥有跨专业和贸易学科和技术的专业知识,可以设计、制造和交付应对环境和水资源挑战的可持续解决方案。BluMetric 拥有超过 175 名员工,分布在十个办事处,拥有超过 45 年的专业经验。BluMetric 的行业专家团队总部位于安大略省渥太华,为商业和工业、军事、矿业和政府客户提供服务。

For more information, visit or please contact:

欲了解更多信息,请访问或联系:

Scott MacFabe, CEO
BluMetric Environmental Inc.
Tel: 1-877-487-8436
Email: smacfabe@blumetric.ca

首席执行官 Scott MacFabe
BluMetric 环境公司
电话:1-877-487-8436
电子邮件:smacfabe@blumetric.ca

Dan Hilton, CFO
BluMetric Environmental Inc.
Tel: 1-877-487-8436
Email: dhilton@blumetric.ca

首席财务官丹·希尔顿
BluMetric 环境公司
电话:1-877-487-8436
电子邮件:dhilton@blumetric.ca

Brandon Chow, Principal & Founder
Otis Investor Relations Inc.
Tel: 1-647-598-8815
Email: brandon@otisir.com

创始人兼创始人 Brandon Chow
奥的斯投资者关系公司
电话:1-647-598-8815
电子邮件:brandon@otisir.com

Forward-Looking Statements

前瞻性陈述

Some of the statements in this press release, including those relating to the Company's quarterly and annual results, future products, opportunities and cost initiatives, strategies, and other statements that are predictive in nature, that depend upon or refer to future events or conditions, or that include words such as "expects", "anticipates", "intends", "plans", "believes", "estimates", or similar expressions, are forward-looking statements within the meaning of applicable Canadian securities laws. Forward-looking statements include, without limitation, the information concerning possible or assumed future results of operations of the Company. These statements are not historical facts but instead represent only the Company's expectations, estimates, and projections regarding future events. By their nature, forward-looking statements require us to make assumptions and are subject to inherent risks and uncertainties. We caution readers of this news release not to place undue reliance on our forward-looking statements as a number of factors could cause actual results or conditions to differ materially from current expectations. Please refer to the risks set forth in the Company's most recent annual MD&A and the Company's continuous disclosure documents that can be found on SEDAR at . The Company does not intend, and disclaims any obligation, except as required by law, to update or revise any forward-looking statements whether as a result of new information, future events or otherwise.

本新闻稿中的一些声明,包括与公司的季度和年度业绩、未来产品、机会和成本举措、策略有关的声明,以及其他本质上具有预测性、取决于或提及未来事件或条件的声明,或者包含 “期望”、“预期”、“打算”、“计划”、“相信”、“估计” 或类似表达方式等词语的陈述,均为适用所指的前瞻性陈述加拿大证券法。前瞻性陈述包括但不限于有关公司未来可能或假设的经营业绩的信息。这些陈述不是历史事实,而是仅代表公司对未来事件的预期、估计和预测。就其性质而言,前瞻性陈述要求我们做出假设,并且存在固有的风险和不确定性。我们提醒本新闻稿的读者不要过分依赖我们的前瞻性陈述,因为许多因素可能会导致实际业绩或条件与当前的预期存在重大差异。请参阅公司最新的年度MD&A和公司持续披露文件中规定的风险,这些文件可在SEDAR上找到。除非法律要求,否则公司不打算也没有义务更新或修改任何前瞻性陈述,无论是由于新信息、未来事件还是其他原因。

Neither the 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投资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投资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。

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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