share_log

ESE Entertainment Reports First Quarter 2024 Results

ESE Entertainment Reports First Quarter 2024 Results

ESE 娱乐公布2024年第一季度业绩
Accesswire ·  04/03 09:15

VANCOUVER, BC / ACCESSWIRE / April 3, 2024 / ESE Entertainment Inc. ("ESE" or the "Company") (TSXV:ESE)(OTCQX:ENTEF), a gaming company that provides a range of services to leading video game developers and publishers, is pleased to announce that it has filed its unaudited condensed interim consolidated financial statements (the "Financial Statements") and related management's discussion and analysis (the "MD&A") for the three months ended January 31, 2024 ("Q1 2024") the highlights of which are presented in this news release. The Financial Statements and MD&A are available on and on the Company's website.

不列颠哥伦比亚省温哥华/ACCESSWIRE/2024年4月3日/为领先视频游戏开发商和发行商提供一系列服务的游戏公司ESE Entertainment Inc.(“ESE” 或 “公司”)(TSXV: ESE)(OTCQX: ENTEF)欣然宣布,它已提交未经审计的简明中期合并财务报表(“财务报表”)以及相关管理层的讨论和分析(“MD&A”)”)截至2024年1月31日的三个月(“2024年第一季度”),其要点将在本新闻稿中介绍。财务报表和管理层分析可在公司网站上查阅。

Q1 2024 Financial Highlights:

2024 年第一季度财务亮点:

  • Total combined Q1 2024 Revenue of $11.93 million (including Gameaddik discontinued operations) comprised of ESE at $3.89 million and Gameaddik at $8.04 million
  • Improvement in Loss Per Share to $0.01, compared to $0.03 in Q1 2023
  • 2024 年第一季度总收入为 1,193 万美元(包括 Gameaddik 已停止的业务),其中 ESE 为 389 万美元,Gameaddik 为 804 万美元
  • 与2023年第一季度0.03美元相比,每股亏损提高至0.01美元

"ESE has continued to build on its strong foundation, achieving significant financial and operational milestones. Our performance this quarter, highlighted by significant combined revenue underscores the operational efficiencies. With the successful execution of our core initiatives and the anticipation of the final holdback payment from the GameAddik sale later this year, we have a healthy financial position. We've made strides to cut expenses and concentrate on what we do best, ensuring that ESE is not only thriving today but is also well-prepared for the opportunities ahead. I am incredibly excited about what the future holds for ESE and our stakeholders," stated Konrad Wasiela, CEO of ESE.

“ESE继续在其坚实的基础上再接再厉,实现了重要的财务和运营里程碑。我们本季度的业绩,以可观的合并收入为亮点,凸显了运营效率。随着核心举措的成功执行,以及预计今年晚些时候GameAddik销售将支付最后一笔滞留款,我们的财务状况良好。我们在削减开支和专注于我们最擅长的事情方面取得了长足的进步,确保了ESE不仅在今天蓬勃发展,而且为未来的机遇做好了充分的准备。我对ESE和我们的利益相关者的未来感到非常兴奋。” ESE首席执行官康拉德·瓦西拉说。

Q1 2024 Operational Highlights:

2024 年第一季度运营亮点:

  • In January 2024, ESE announced that Samsung became the title partner ESE Entertainment's Gaming Tournament, Ultraliga.
  • In January 2024, ESE announced that the TSX Venture Exchange accepted the Company's notice to implement a normal course issuer bid (the "NCIB") to purchase, for cancellation, up to 4,000,000 of its common shares (the "Shares"), representing approximately 4.9% of the Company's 81,052,663 current issued and outstanding common shares and approximately 6.9% of the 57,980,125 common shares currently comprising the Company's "Public Float".
  • In January 2024, ESE announced a strategic partnership with Metapro, a blockchain company. The partnership signifies a strengthened plan by ESE to provide its technology services to blockchain and crypto companies.
  • In December 2023, ESE announced that shareholders approved all matters at the Annual General Meeting.
  • 2024年1月,ESE宣布三星成为ESE娱乐的游戏锦标赛Ultraliga的冠名合作伙伴。
  • 2024年1月,ESE宣布,多伦多证券交易所风险交易所接受了公司的通知,将实施发行人正常出价(“NCIB”),购买最多4,000,000股普通股(“股份”),约占公司当前已发行和流通普通股81,052,663股的4.9%,以及目前构成公司 “公众持股量” 的57,980,125股普通股的约6.9%”。
  • 2024年1月,ESE宣布与区块链公司Metapro建立战略合作伙伴关系。该合作伙伴关系标志着ESE加强了向区块链和加密公司提供技术服务的计划。
  • 2023年12月,ESE宣布股东在年度股东大会上批准了所有事项。

The financial and operating results discussed in this news release are based on the Financial Statements and MD&A, which were released on April 2, 2024. It is only in the context of the fulsome information and disclosures contained in the Financial Statements and MD&A that an investor can properly analyze this information. The Financial Statements and MD&A will be published under the Company's profile on SEDAR at .

本新闻稿中讨论的财务和经营业绩基于2024年4月2日发布的财务报表和MD&A。只有在财务报表和管理与分析中包含的大量信息和披露的背景下,投资者才能正确分析这些信息。财务报表和管理层分析将在SEDAR的公司简介下发布,网址为。

All amounts are in Canadian dollars.

所有金额均以加元计算。

ESE Entertainment Inc.
Konrad Wasiela
Chief Executive Officer and Director
+1 (437) 826-4012

ESE 娱乐公司
康拉德·瓦西拉
首席执行官兼董事
+1 (437) 826-4012

About ESE Entertainment Inc.

关于 ESE 娱乐公司

ESE is a global technology company focused on gaming and esports. The Company provides a range of services to leading video game developers, publishers, and brands by providing technology, infrastructure, and fan engagement services internationally. ESE also operates its own ecommerce channels, esports teams, and gaming leagues. |

ESE是一家专注于游戏和电子竞技的全球科技公司。该公司通过在全球范围内提供技术、基础设施和粉丝参与服务,为领先的视频游戏开发商、发行商和品牌提供一系列服务。ESE还运营自己的电子商务渠道、电子竞技团队和游戏联赛。|

CAUTIONARY NOTE REGARDING FORWARD-LOOKING INFORMATION

关于前瞻性信息的警示性说明

This news release contains certain statements that may constitute forward-looking information under applicable securities laws. All statements, other than those of historical fact, which address activities, events, outcomes, results, developments, performance or achievements that ESE anticipates or expects may or will occur in the future (in whole or in part) should be considered forward-looking information. Such information may involve, but is not limited to, statements with respect to: the Company's ability to achieve increased profitability and high gross margins; the completion of the acquisition of Frenzy and Digital Motorsports and the consideration payable thereunder; the Company's plans to focus on its core intellectual property and technology offering, GameAddik; the Company establishing long term sustainability; and the Company delivering value to its shareholders. Often, but not always, forward-looking information can be identified by the use of words such as "plans", "expects", "is expected", "budget", "scheduled", "estimates", "forecasts", "intends", "anticipates", or "believes" or variations (including negative variations) of such words and phrases, or statements formed in the future tense or indicating that certain actions, events or results "may", "could", "would", "might" or "will" (or other variations of the forgoing) be taken, occur, be achieved, or come to pass. Forward-looking information is based on currently available competitive, financial and economic data and operating plans, strategies or beliefs as of the date of this news release, but involve known and unknown risks, uncertainties, assumptions and other factors that may cause the actual results, performance or achievements of ESE to be materially different from any future results, performance or achievements expressed or implied by the forward-looking information. Such factors may be based on information currently available to ESE, including information obtained from third-party industry analysts and other third-party sources, and are based on management's current expectations or beliefs regarding future growth, results of operations, future capital (including the amount, nature and sources of funding thereof) and expenditures. Any and all forward-looking information contained in this press release is expressly qualified by this cautionary statement. Trading in the securities of ESE should be considered highly speculative.

本新闻稿包含某些陈述,根据适用的证券法,这些陈述可能构成前瞻性信息。除历史事实陈述外,涉及ESE预期或预期在未来(全部或部分)可能或将要发生的活动、事件、结果、结果、发展、业绩或成就的所有陈述,均应被视为前瞻性信息。此类信息可能涉及但不限于以下方面的声明:公司实现更高盈利能力和高毛利率的能力;完成对Frenzy and Digital Motorsports的收购及其应付对价;公司计划专注于其核心知识产权和技术产品GameAddik;公司建立长期可持续性;以及公司为股东创造价值。通常,但并非总是如此,前瞻性信息可以通过使用 “计划”、“期望”、“预期”、“预算”、“预期”、“估计”、“打算”、“预期” 或 “相信” 等词语或此类词语和短语的变体(包括负面变体)来识别,或以将来时形成的陈述,或表明某些行动、事件或结果 “可能”,“可能””、“将”、“可能” 或 “将”(或前述内容的其他变体)被采纳、发生、实现或实现。前瞻性信息基于截至本新闻发布之日当前可用的竞争、财务和经济数据以及运营计划、战略或信念,但涉及已知和未知的风险、不确定性、假设和其他因素,这些因素可能导致ESE的实际业绩、业绩或成就与前瞻性信息所表达或暗示的任何未来业绩、业绩或成就存在重大差异。这些因素可能基于ESE目前获得的信息,包括从第三方行业分析师和其他第三方来源获得的信息,并基于管理层当前对未来增长、经营业绩、未来资本(包括其金额、性质和资金来源)和支出的预期或信念。本新闻稿中包含的所有前瞻性信息均受本警示声明的明确限制。ESE证券交易应被视为高度投机性。

This press release contains future-oriented financial information and financial outlook information (collectively, "FOFI") about ESE's prospective results of operations and components thereof, all of which are subject to the same assumptions, risk factors, limitations, and qualifications as set forth in the above paragraph. FOFI contained in this document was approved by management as of the date of this document and was provided for the purpose of providing further information about ESE's future business operations. ESE disclaims any intention or obligation to update or revise any FOFI contained in this document, whether as a result of new information, future events or otherwise, unless required pursuant to applicable law. Readers are cautioned that the FOFI contained in this document should not be used for purposes other than for which it is disclosed herein.

本新闻稿包含有关ESE预期经营业绩及其组成部分的面向未来的财务信息和财务展望信息(统称为 “FOFI”),所有这些信息都受上述段落中规定的相同假设、风险因素、限制和条件的约束。截至本文件发布之日,本文件中包含的FOFI已获得管理层的批准,其目的是提供有关ESE未来业务运营的更多信息。除非适用法律要求,否则ESE不打算或义务更新或修改本文档中包含的任何 FOFI,无论是由于新信息、未来事件还是其他原因。请读者注意,本文档中包含的 FOFI 不得用于本文披露的目的以外的其他目的。

NON-IFRS MEASURES

非国际财务报告准则指标

This press release includes references to adjusted EBITDA. Adjusted EBITDA is a non-IFRS financial measure and is defined by the Company as net income or loss before income taxes, depreciation, commissions, finder's fees and stamp duty for acquisitions, share-based payments, interest, impairment of assets, accretion, and foreign exchange gain or loss. We believe that adjusted EBITDA is a useful measure of financial performance because it provides an indication of the Company's ability to capitalize on growth opportunities in a cost-effective manner, finance its ongoing operations and service its financial obligations.

本新闻稿提及调整后的息税折旧摊销前利润。调整后的息税折旧摊销前利润是非国际财务报告准则的财务指标,由公司定义为收购所得税、折旧、佣金、发现者费用和印花税前的净收益或亏损、股份支付、利息、资产减值、增值和外汇损益。我们认为,调整后的息税折旧摊销前利润是衡量财务业绩的有用指标,因为它表明了公司以具有成本效益的方式利用增长机会、为持续运营融资和偿还财务义务的能力。

This non-IFRS financial measure is not an earnings or cash flow measure recognized by IFRS and does not have a standardized meaning prescribed by IFRS. Our method of calculating such a financial measure may differ from the methods used by other issuers and, accordingly, our definition of this non-IFRS financial measure may not be comparable to similar measures presented by other issuers. Investors are cautioned that non-IFRS financial measures should not be construed as an alternative to net income determined in accordance with IFRS as indicators of our performance or to cash flows from operating activities as measures of liquidity and cash flows.

该非国际财务报告准则财务指标不是国际财务报告准则认可的收益或现金流指标,也没有国际财务报告准则规定的标准化含义。我们计算此类财务指标的方法可能与其他发行人使用的方法不同,因此,我们对该非国际财务报告准则财务指标的定义可能无法与其他发行人提出的类似指标相提并论。提醒投资者,不应将非国际财务报告准则财务指标解释为根据国际财务报告准则确定的净收益作为我们业绩指标的替代方案,或将经营活动产生的现金流解释为衡量流动性和现金流的替代方案。

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。

For further information about ESE, please contact:
investors@esegaming.com

有关 ESE 的更多信息,请联系:
investors@esegaming.com


ESE ENTERTAINMENT INC.
Condensed Interim Consolidated Statements of Financial Position
(Expressed in Canadian Dollars)
(Unaudited - Prepared by Management)


ESE 娱乐公司
简明的中期合并财务状况表
(以加元表示)
(未经审计-由管理层编写)

Note January 31,
2024
October 31,
2023

(unaudited) (audited)
ASSETS






Current assets



Cash

$ 1,339,730 $ 2,125,251
Receivables
8 2,234,561 2,285,731
Prepaid expense and deposits
299,717 148,327
Inventory
27,611 27,915
3,901,619 4,587,224
Property and equipment
9 521,895 431,465
Investment in GR Games
13 335,980 331,314
Investment in GameAddik
12 4,019,022 3,761,567
Total assets
$ 8,778,516 $ 9,111,570
LIABILITIES
Current liabilities
Accounts payable and accrued liabilities
14, 21 $ 2,682,000 $ 2,195,733
Lease liabilities
15 83,308 110,062
Acquisition payment commitment
7 862,801 862,801
Loans and credit facilities
16 509,233 674,276
Convertible notes
17 2,570,746 2,517,507
Consideration payable
6 47,801 63,735
Deferred revenue
21 8,987 9,305
6,764,876 6,433,419
EQUITY
Share capital
18 52,919,810 52,288,061
Share subscriptions received
1,050 1,050
Commitment to issue shares
5, 7, 18 2,100,361 2,235,346
Contributed surplus
6,036,425 6,032,669
Accumulated other comprehensive loss
(3,054) (11,432)
Deficit
(58,086,194) (56,951,453)
Equity attributable to shareholders
2,968,398 3,594,241
Non-controlling interest
(954,758) (916,090)
Total equity
2,013,640 2,678,151
$ 8,778,516 $ 9,111,570
注意 1月31日
2024
10月31日,
2023

(未经审计) (已审计)
资产






流动资产



现金

$ 1,339,730 $ 2,125,251
应收款
8 2,234,561 2,285,731
预付费用和押金
299,717 148,327
库存
27,611 27,915
3,901,619 4,587,224
财产和设备
9 521,895 431,465
投资 GR 游戏
13 335,980 331,314
投资 GameAddik
12 4,019,022 3,761,567
总资产
$ 8,778,516 $ 9,111,570
负债
流动负债
应付账款和应计负债
14、21 $ 2,682,000 $ 2,195,733
租赁负债
15 83,308 110,062
收购付款承诺
7 862,801 862,801
贷款和信贷便利
16 509,233 674,276
可转换票据
17 2,570,746 2,517,507
应付对价
6 47,801 63,735
递延收入
21 8,987 9,305
6,764,876 6,433,419
公平
股本
18 52,919,810 52,288,061
已收到股票订阅
1,050 1,050
承诺发行股票
5、7、18 2,100,361 2,235,346
缴款盈余
6,036,425 6,032,669
累计其他综合亏损
(3,054) (11,432)
赤字
(58,086,194) (56,951,453)
股东应占权益
2,968,398 3,594,241
非控股权益
(954,758) (916,090)
权益总额
2,013,640 2,678,151
$ 8,778,516 $ 9,111,570

ESE ENTERTAINMENT INC.
Condensed Interim Consolidated Statements of Loss and Comprehensive Loss
For the three and nine months ended January 31, 2024 and 2023
(Expressed in Canadian Dollars)

ESE 娱乐公司
简明的中期合并亏损表和综合亏损表
在截至2024年和2023年1月31日的三个月和九个月中
(以加元表示)

(Unaudited - Prepared by Management)

(未经审计-由管理层编写)

Note 2024 2023
Revenue
21 $ 3,885,894 $ 5,382,425
Cost of sales
21 3,852,479 5,150,036
Gross profit
33,415 232,389
Expenses
Share-based payments
18, 20 500,520 1,674,087
Wages, benefits and consulting
20 260,001 355,658
General and administration
68,902 446,260
Advertising and promotion
52,948 28,646
Professional fees
20 265,518 172,307
Commissions
38,323 57,946
Amortization
9 12,295 94,374
Filing fees, bad debts and other expense (recovery)
138,305 (2,770)
1,336,812 2,826,508
Loss before other items
(1,303,397) (2,594,119)
Other items:
Interest expense
16, 17 (82,012) (128,754)
Accretion expense
17 (53,239) (101,753)
Gain on revaluation of consideration payable
6 15,934 220,209
Equity income from investment in GameAddik
12 257,455 -
Foreign exchange loss
(8,150) (74,535)
129,988 (84,833)
Net loss for the period before taxes
(1,173,409) (2,678,952)
Income tax recovery
- 49,536
Net loss for the period from continuing operations
(1,173,409) (2,629,416)
Net income for the period from discontinued operations, net of tax
23 - 558,498
Net loss for the period
(1,173,409) (2,070,918)
Other comprehensive income
Income on translation of foreign operations
8,378 67,319
Total comprehensive loss for the period
$ (1,165,031) $ (2,003,599)
Net loss from continuing operations attributable to:
Shareholders of the company
$ (1,134,741) $ (2,506,146)
Non-controlling interest
(38,668) (123,270)
Net loss for the period from continuing operations
$ (1,173,409) $ (2,629,416)
Net income from discontinued operations attributable to:
Shareholders of the company
$ - $ 558,498
Non-controlling interest
- -
Net income for the period from discontinued operations
$ - $ 558,498
Net loss attributable to:
Shareholders of the company
$ (1,134,741) $ (1,947,648)
Non-controlling interest
(38,668) (123,270)
Net loss for the period
$ (1,173,409) $ (2,070,918)
Total comprehensive loss attributable to:
Shareholders of the company
$ (1,126,363) $ (1,880,329)
Non-controlling interest
(38,668) (123,270)
Total comprehensive loss for the period
$ (1,165,031) $ (2,003,599)
Basic and diluted loss per share
$ (0.01) $ (0.03)
Basic and diluted loss per share - continuing operations
$ (0.01) $ (0.04)
Basic and diluted income per common share - discontinued operations
$ - $ 0.01
Basic and diluted loss per common share - continuing operations attributable to shareholders of the company
$ (0.01) $ (0.03)
Weighted average number of common shares outstanding
80,370,803 72,986,879
注意 2024 2023
收入
21 $ 3,885,894 $ 5,382,425
销售成本
21 3,852,479 5,150,036
毛利
33,415 232,389
开支
基于股份的支付
18、20 500,520 1,674,087
工资、福利和咨询
20 260,001 355,658
一般和行政
68,902 446,260
广告和促销
52,948 28,646
专业费用
20 265,518 172,307
佣金
38,323 57,946
摊销
9 12,295 94,374
申报费、坏账和其他费用(追回)
138,305 (2,770)
1,336,812 2,826,508
扣除其他物品之前的损失
(1,303,397) (2,594,119)
其他物品:
利息支出
16、17 (82,012) (128,754)
增值费用
17 (53,239) (101,753)
应付对价重估所得收益
6 15,934 220,209
投资GameAddik的股权收益
12 257,455 -
外汇损失
(8,150) (74,535)
129,988 (84,833)
税前期间的净亏损
(1,173,409) (2,678,952)
追回所得税
- 49,536
本期持续经营业务净亏损
(1,173,409) (2,629,416)
已终止业务期间的净收入,扣除税款
23 - 558,498
该期间的净亏损
(1,173,409) (2,070,918)
其他综合收入
国外业务的翻译收入
8,378 67,319
该期间的综合亏损总额
$ (1,165,031) $ (2,003,599)
持续经营业务净亏损归因于:
公司的股东
$ (1,134,741) $ (2,506,146)
非控股权益
(38,668) (123,270)
本期持续经营业务净亏损
$ (1,173,409) $ (2,629,416)
来自已终止业务的净收入归因于:
公司的股东
$ - $ 558,498
非控股权益
- -
该期间来自已终止业务的净收入
$ - $ 558,498
净亏损归因于:
公司的股东
$ (1,134,741) $ (1,947,648)
非控股权益
(38,668) (123,270)
该期间的净亏损
$ (1,173,409) $ (2,070,918)
归因于以下因素的全面亏损总额:
公司的股东
$ (1,126,363) $ (1,880,329)
非控股权益
(38,668) (123,270)
该期间的综合亏损总额
$ (1,165,031) $ (2,003,599)
每股基本亏损和摊薄后亏损
$ (0.01) $ (0.03)
每股基本亏损和摊薄亏损——持续经营
$ (0.01) $ (0.04)
普通股基本收益和摊薄后每股收益——已终止业务
$ - $ 0.01
普通股基本亏损和摊薄后每股亏损——归属于公司股东的持续经营
$ (0.01) $ (0.03)
已发行普通股的加权平均数
80,370,803 72,986,879

SOURCE: ESE Entertainment Inc.

来源:ESE 娱乐公司


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