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Gatekeeper Reports $9.9M Revenue and $1.6M Net Income in Fiscal Q2 2024

Gatekeeper Reports $9.9M Revenue and $1.6M Net Income in Fiscal Q2 2024

Gatekeeper报告2024财年第二季度收入为990万美元,净收入为160万美元
newsfile ·  04/29 08:15

Abbotsford, British Columbia--(Newsfile Corp. - April 29, 2024) - Gatekeeper Systems Inc. (TSXV: GSI) (OTC Pink: GKPRF) ('Gatekeeper' or the 'Company') a video and data solutions provider for public transportation and smart cities, reports its financial results for the three and six months ended February 29, 2024.

不列颠哥伦比亚省阿伯茨福德--(Newsfile Corp.-2024 年 4 月 29 日)- Gatekeeper Systems Inc.(多伦多证券交易所股票代码:GKPRF)(“Gatekeeper” 或 “公司”) 一家公共交通和智慧城市的视频和数据解决方案提供商报告了截至2024年2月29日的三个月和六个月的财务业绩。

Highlights for Second Fiscal Quarter Ended February 29, 2024:

截至2024年2月29日的第二财季亮点:

  • Revenue for the three months ended February 29, 2024 was $9,858,554, the highest quarterly revenue in the Company's history, and compares to $9,685,773 for the same prior year comparable period;
  • Revenue for the six months ended February 29, 2024 was $19,683,297 compared to $14,570,831 for the same prior year comparable period, representing an increase of 35%;
  • Gross margin for the three months and six months ended February 29, 2024 was $5,087,631 and $9,865,676, respectively, compared to $4,545,579 and $6,091,697 for the same prior year comparable periods, representing an increase in gross margin of 12% and 62%, respectively. Gross margin as a percentage of revenue for the three and six months ended February 29, 2024 was 52% and 50%, respectively, compared to 47% and 42% for the same prior year comparable periods;
  • Total comprehensive income for the three and six months ended February 29, 2024 was $1,575,860 and $3,628,972, compared to total comprehensive income of $1,865,904 and $1,779,890 for the same prior year comparable periods;
  • At February 29, 2024, the Company had working capital of $16,748,394, no borrowed-money debt, and approximately 92 million shares outstanding.
  • 截至2024年2月29日的三个月,收入为9,858,554美元,为公司历史上最高的季度收入,而去年同期为9,685,773美元;
  • 截至2024年2月29日的六个月中,收入为19,683,297美元,而去年同期为14,570,831美元,增长了35%;
  • 截至2024年2月29日的三个月和六个月的毛利率分别为5,087,631美元和9,865,676美元,而去年同期为4545,579美元和6,091,697美元,毛利率分别增长了12%和62%。截至2024年2月29日的三个月和六个月中,毛利率占收入的百分比分别为52%和50%,而去年同期为47%和42%;
  • 截至2024年2月29日的三个月和六个月的综合收益总额为1,575,860美元和3,628,972美元,而去年同期的总综合收益为1,865,904美元和1,779,890美元;
  • 截至2024年2月29日,该公司的营运资金为16,748,394美元,没有借款债务,已发行股票约为9200万股。

Management Commentary
Doug Dyment, President and CEO commented, "Fiscal Q2 set a new quarterly revenue record, and was our fifth consecutive quarter of profitability. We continue to deliver solid financial results while building out our data business. During the quarter, we established a data center for our AI-based video analytics hosted services offerings, and customers are subscribing to these offerings. In the school segment we are seeing an increase in the number of school districts embracing our video analytics software, and we launched a new Pedestrian Protector solution which uses AI and video analytics to help protect school children around the bus. In the transit segment we announced completion of a major transit contract, and announced a new contract to equip passenger train locomotives with video and storage devices that are now regulated to be installed on all intercity passenger trains in the U.S. We also recently announced a new transit customer that is embracing our hosted service offerings. We have been strategically investing in our corporate infrastructure and sales team in preparation for future growth, which is centered around our Platform as a Service (PaaS) business model, Mobile Data Collectors (MDCs), and video analytics offerings that help our customers analyze the vast amounts of video and data being recorded every day."

管理层评论
总裁兼首席执行官道格·戴蒙特评论说:“第二财季创下了新的季度收入记录,这是我们连续第五个季度实现盈利。在发展数据业务的同时,我们将继续提供稳健的财务业绩。在本季度,我们为基于人工智能的视频分析托管服务产品建立了一个数据中心,客户正在订阅这些服务。在学校领域,我们看到越来越多的学区采用我们的视频分析软件,我们推出了新的行人保护器解决方案,该解决方案使用人工智能和视频分析来帮助保护公交车周围的学童。在公交领域,我们宣布完成一项重要的运输合同,并宣布了一份新合同,为旅客列车机车配备视频和存储设备,这些设备现已受到管制,必须安装在美国的所有城际旅客列车上。我们最近还宣布了一位新的公交客户,该客户正在接受我们的托管服务。我们一直在战略性地投资我们的企业基础设施和销售团队,为未来的增长做准备,其核心是我们的平台即服务(PaaS)业务模式、移动数据收集器(MDC)和视频分析产品,这些产品可帮助我们的客户分析每天录制的大量视频和数据。”

Selected Financial Information

精选财务信息














For the three months ended

For the six months ended



February 29,
2024


February 28,
2023


February 29,
2024


February 28,
2023












Revenue
$ 9,858,554
$ 9,685,773
$ 19,683,297
$ 14,570,831

Cost of Sales

4,770,923

5,140,194

9,817,621

8,479,134

Gross Profit

5,087,631

4,545,579

9,865,676

6,091,697

Gross Margin

52%

47%

50%

42%











Expenses

3,341,690

2,404,408

6,000,743

4,569,129





















Operating Income

1,745,941

2,141,171

3,864,933

1,522,568





















Total Comprehensive Income for the period
$ 1,575,860
$ 1,865,904
$ 3,628,972
$ 1,779,890

Earning per share –









Basic
$ 0.02
$ 0.02
$ 0.04
$ 0.02

Diluted
$ 0.02
$ 0.02
$ 0.04
$ 0.02























February 29,
2024


August 31,
2023
















Total Assets
$ 22,986,955
$ 19,609,579















Total Liabilities

3,425,575

3,866,678















Total Shareholders' Equity
$ 19,561,380
$ 15,742,901

















在结束的三个月里

在截至的六个月中



二月 29,
2024


2月28日
2023


二月 29,
2024


2月28日
2023












收入
$ 9,858,554
$ 9,685,773
$ 19,683,297
$ 14,570,831

销售成本

4,770,923

5,140,194

9,817,621

8,479,134

毛利

5,087,631

4,545,579

9,865,676

6,091,697

毛利率

52%

47%

50%

42%











开支

3,341,690

2,404,408

6,000,743

4,569,129





















营业收入

1,745,941

2,141,171

3,864,933

1,522,568





















该期间的综合收入总额
$ 1,575,860
$ 1,865,904
$ 3,628,972
$ 1,779,890

每股收益 —









基本
$ 0.02
$ 0.02
$ 0.04
$ 0.02

稀释
$ 0.02
$ 0.02
$ 0.04
$ 0.02























二月 29,
2024


8月31日
2023
















总资产
$ 22,986,955
$ 19,609,579















负债总额

3,425,575

3,866,678















股东权益总额
$ 19,561,380
$ 15,742,901




Full details of the financial reports and operating results for the second fiscal quarter ended February 29, 2024, are described in the Company's unaudited consolidated financial statements with accompanying notes and related Management's Discussion and Analysis, available on SEDAR+ at .

截至2024年2月29日的第二财季财务报告和经营业绩的完整详细信息在公司未经审计的合并财务报表及其附注以及相关的管理层讨论与分析中进行了描述,可在SEDAR+上查阅。

About Gatekeeper Systems Inc.

关于 Gatekeeper 系统公司

Gatekeeper is a leading provider of intelligent video and data solutions designed to provide a safer transportation environment for children, passengers, and public safety personnel on multiple transportation modes. The Company uses AI, video analytics, and Mobile Data Collectors to inter-connect public transportation assets within a Smart City ecosystem. The Company's Platform-as-a-Service (PaaS) business model is centered around wirelessly enabled Mobile Data Collectors which forms the foundation of the Company's data company evolution.

Gatekeeper 是智能视频和数据解决方案的领先提供商,旨在为使用多种交通模式的儿童、乘客和公共安全人员提供更安全的交通环境。该公司使用人工智能、视频分析和移动数据收集器来互连智慧城市生态系统中的公共交通资产。该公司的平台即服务 (PaaS) 业务模式以支持无线的移动数据收集器为中心,这构成了公司数据公司发展的基础。

Contact Information:

联系信息:

Douglas Dyment
President & CEO
ddyment@gatekeeper-systems.com
(604) 864-6187

道格拉斯·戴蒙特
总裁兼首席执行官
ddyment@gatekeeper-systems.com
(604) 864-6187

Cautionary Note Regarding Forward-Looking Statements: Certain statements made in this press release that are not historical facts are forward-looking statements and are subject to important risks, uncertainties and assumptions, both general and specific, which give rise to the possibility that actual results or events could differ materially from our expectations expressed in or implied by such forward-looking statements. As a result, we cannot guarantee that any forward-looking statement will materialize, and readers are cautioned not to place undue reliance on these forward-looking statements. For more exhaustive information on these risks and uncertainties, the reader should refer to the risk factors described in the management's discussion and analysis for the period ended February 29, 2024. The forward-looking statements contained in this press release represent our expectations as of the date hereof. We disclaim any intention and assume no obligation to update or revise any forward-looking statements. Forward-Looking statements are presented for the purpose of providing information about management's current expectations and plans and allowing investors and others to obtain a better understanding of our anticipated operating environment. Readers are cautioned that such information may not be appropriate for other purposes. The Company undertakes no obligations to update or revise such statements to reflect new circumstances or unanticipated events as they occur, unless required by applicable law.

关于前瞻性陈述的警示说明:本新闻稿中发表的某些非历史事实的陈述是前瞻性陈述,受重要的一般和具体风险、不确定性和假设的影响,这使得实际结果或事件可能与我们在此类前瞻性陈述中表达或暗示的预期存在重大差异。因此,我们无法保证任何前瞻性陈述都能实现,并提醒读者不要过分依赖这些前瞻性陈述。有关这些风险和不确定性的更详尽的信息,读者应参考管理层在截至2024年2月29日的讨论和分析中描述的风险因素。本新闻稿中包含的前瞻性陈述代表了我们截至发布之日的预期。我们无意更新或修改任何前瞻性陈述,也没有义务更新或修改任何前瞻性陈述。提交前瞻性陈述的目的是提供有关管理层当前预期和计划的信息,并使投资者和其他人能够更好地了解我们的预期运营环境。请读者注意,此类信息可能不适用于其他目的。除非适用法律要求,否则公司没有义务更新或修改此类声明以反映新情况或意外事件。

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。

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