share_log

Evertz Technologies Limited Exceeds Half Billion in Annual Revenue in Fiscal 2024

Evertz Technologies Limited Exceeds Half Billion in Annual Revenue in Fiscal 2024

Evertz Technologies有限公司在2024财年的年营业收入已超过5亿
newsfile ·  06/19 16:50

Burlington, Ontario--(Newsfile Corp. - June 19, 2024) - Evertz Technologies Limited (TSX: ET), the leader in Software Defined Video Network ("SDVN") technology, today reported its results for the fourth quarter and year ended April 30, 2024.

安大略省伯灵顿 - (新闻稿提供:Newsfile Corp。- 2024年6月19日) - Evertz Technologies Limited(TSX:ET),软件定义视频网络("SDVN")技术领域的领导者,今天报告了截至2024年4月30日的第四季度和年度业绩。

Fiscal 2024 Highlights

2024财年亮点

  • Record revenue of $514.6 million an increase of 13% or $60.0 million from the prior year
  • Reoccurring software, services and other software of $188.9 million, representing 37% of total revenue
  • International revenue of $176.6 million, an increase of 50% or $59.1 million from the prior year
  • Earnings from operations of $100.4 million
  • Net earnings of $71.0 million for the year, an increase of 10% from the prior year
  • Fully diluted earnings per share of $0.91 for the year
  • 营业收入创下514.6亿美元的历史新高,较去年增长13%或6.00亿美元
  • 营业收入中,软件、服务和其他业务收入为188.9亿美元,占总收入的37%
  • 国际收入为1.766亿美元,较去年增长50%或5.91亿美元
  • 营业利润为1.004亿美元
  • 本年度净收入为7.10亿美元,较去年增长10%
  • 全摊薄每股收益为0.91美元

Fourth Quarter 2024 Highlights

第四季度财报亮点

  • Quarterly revenue of $122.8 million
  • Earnings from operations of $19.6 million
  • Net earnings of $13.9 million for the quarter
  • Fully diluted earnings per share of $0.18 for the quarter
  • Cash and cash equivalents of $86.3 million
  • 季度营收为1.228亿美元
  • 季度营业利润为1960万美元
  • 季度净收入为1,390万美元
  • 全摊薄每股收益为0.18美元
  • 现金及现金等价物为8,630万美元

Selected Financial Information
Consolidated Statement of Earnings Data
(in thousands of dollars, except earnings per share and share data)

选定的财务信息
综合损益表
(以千美元为单位,除每股收益和股票数据外)


Q4'24

Q4'23

YE'24

YE'23
Revenue $ 122,770
$ 128,919
$ 514,616
$ 454,578
Gross margin
72,655

76,646

302,443

268,258
Earnings from operations
19,541

30,467

100,396

95,628
Net earnings
13,861

18,551

71,027

64,555
Fully-diluted earnings per share $ 0.18
$ 0.24
$ 0.91
$ 0.84
Fully-diluted shares
77,310,309

76,164,716

77,044,858

76,200,428

Q4'24

Q4'23

YE'24

YE'23
营业收入 $ 122,770
$ 128,919
$ 514,616
$ 454,578
毛利率
72,655

76,646

302,443

268,258
运营收益
19,541

30,467

100,396

95,628
净收益
13,861

18,551

71,027

64,555
每股 fully-diluted 收益 $ 0.18
$ 0.24
$ 0.91
$ 0.84
全面摊薄股份
77,310,309

76,164,716

77,044,858

76,200,428

Selected Financial Information
Consolidated Balance Sheet Data
(in thousands of dollars)

财务精选信息
合并资产负债表数据
(以千元美元计)


YE ' 24

YE ' 23
Cash and cash equivalents $ 86,325
$ 12,468
Working capital
201,437

171,428
Total assets
484,722

436,652
Shareholders' equity
263,267

243,099

截至24年年末

截至23年年末
现金及现金等价物 $ 86,325
$ 12,468
营运资本
201,437

171,428
总资产
484,722

436,652
股东权益
263,267

243,099

Revenue

营业收入

For the quarter ended April 30, 2024, revenues were $122.8 million compared to revenues of $128.9 million for the quarter ended April 30, 2023. For the quarter, revenues in the United States/Canada region were $96.5 million, a decrease of $1.5 million, compared to $98.0 million in the same quarter last year. The International region had revenues of $26.3 million compared to $30.9 million in the same quarter last year.

2024年4月30日季度,收入为1.228亿美元,而2023年4月30日季度为1.289亿美元。本季度,美国/加拿大地域板块的收入为9650万美元,相比去年同期下降了150万美元,而去年同季为9800万美元。国际地域板块收入为2630万美元,相比去年同期的3090万美元有所下降。

For the year ended, April 30, 2024, sales were $514.6 million (including $325.7 million in hardware and $188.9 million in reoccurring software, services and other software) compared to sales of $454.6 million (including $281.2 million in hardware and $173.4 million in reoccurring software, services and other software) for the year ended April 30, 2023. For the year, revenues in the United States/Canada region were $338.0 million, an increase of $0.9 million compared to $337.1 million in the prior year. The International region had revenues of $176.6 million compared to $117.5 million, an increase of $59.1 million from the prior year.

截至2024年4月30日,销售额为5.146亿美元(其中硬件为3.257亿美元,软件、服务业和其他软件为1.889亿美元),而截至2023年4月30日的销售额为4.546亿美元(其中硬件为2.812亿美元,软件、服务业和其他软件为1.734亿美元)。本年度,美国/加拿大地域板块的收入为3.38亿美元,相比去年同期增加了90万美元,而去年同期为3.371亿美元。国际地域板块收入为1.766亿美元,相比去年同期的1.175亿美元增加了5910万美元。

Gross Margin

毛利率

For the quarter ended April 30, 2024, gross margin was $72.7 million as compared to $76.6 million in the same quarter last year. Gross margin percentage was approximately 59.2% as compared to 59.5% in the quarter ended April 30, 2023.

2024年4月30日季度,毛利率为7270万美元,而去年同季为7660万美元。毛利率百分比约为59.2%,而2023年4月30日季度为59.5%。

For the year ended April 30, 2024, gross margin was $302.4 million as compared to $268.3 million for the year ended April 30, 2023. Gross margin percentage was approximately 58.8% as compared to 59.0% for the prior year.

截至2024年4月30日,毛利率为3.024亿美元,而截至2023年4月30日为2.683亿美元。毛利率百分比约为58.8%,而去年同期为59.0%。

Earnings

收益

For the quarter ended April 30, 2024, net earnings were $13.9 million as compared to $18.6 million in the corresponding period last year.

2024年4月30日季度,净利润为1390万美元,而去年同期为1860万美元。

For the year ended April 30, 2024, net earnings were $71.0 million as compared to $64.6 million in the corresponding period last year.

截至2024年4月30日,净利润为7100万美元,而去年同期为6460万美元。

For the quarter ended April 30, 2024, earnings per share on a fully-diluted basis were $0.18 as compared to $0.24 in the corresponding period last year.

2024年4月30日季度,每股摊薄收益为0.18美元,而去年同期为0.24美元。

For the year ended April 30, 2024, earnings per share on a fully-diluted basis were $0.91 as compared to $0.84 in the same period in 2023.

截至2024年4月30日,每股摊薄收益为0.91美元,而截至2023年同期为0.84美元。

Operating Expenses

研究和开发

For the quarter ended April 30, 2024, selling and administrative expenses were $20.1 million as compared to $17.5 million for the quarter ended April 30, 2023.

截至2024年4月30日的季度,销售和管理费用为2,010万美元,而截至2023年4月30日的季度为1,750万美元。

For the year ended April 30, 2024, selling and administrative expenses were $72.3 million as compared to $61.5 million for the year ended April 30, 2023.

截至2024年4月30日的财政年度,销售和管理费用为7,230万美元,而截至2023年4月30日的财政年度为6,150万美元。

For the quarter ended April 30, 2024, gross research and development expenses were $36.7 million as compared to $29.9 million for the quarter ended April 30, 2023.

截至2024年4月30日的季度,研发费用总额为3,670万美元,而截至2023年4月30日的季度为2,990万美元。

For the year ended April 30, 2024, gross research and development expenses were $134.8 million as compared to $117.1 million for the year ended April 30, 2023.

截至2024年4月30日的财政年度,研发费用总额为1,348万美元,而截至2023年4月30日的财政年度为1,171万美元。

Liquidity and Capital Resources

流动性和资本资源

The Company's working capital as at April 30, 2024 was $201.4 million as compared to $171.4 million on April 30, 2023.

截至2024年4月30日,公司的营运资本为2.014亿美元,而截至2023年4月30日为1.714亿美元。

Cash was $86.3 million as at April 30, 2024 as compared to $12.5 million on April 30, 2023.

截至2024年4月30日,现金为8630万美元,而截至2023年4月30日为1250万美元。

Cash generated from operations was $34.2 million for the quarter ended April 30, 2024 as compared to $25.9 million cash generated for the quarter ended April 30, 2023. Before taking into account taxes and the changes in non-cash working capital and current taxes, the Company generated $19.6 million from operations for the quarter ended April 30, 2024 compared to $26.7 million for the same period last year.

截至2024年4月30日的季度,现金流量净额为3,420万美元,而截至2023年4月30日的季度为2,590万美元。未考虑税收和非现金营运资本和流动税后,公司在截至2024年4月30日的季度营业中获得了1,960万美元,去年同期为2,670万美元。

Cash generated by operations was $144.7 million for the 2024 fiscal year as compared to cash provided by operations of $53.8 million for the 2023 fiscal year. Before taking into account taxes and the changes in non-cash working capital and current taxes, the Company generated $95.4 million from operations for fiscal 2024 as compared to $91.5 million for fiscal 2023.

截至2024财政年度,经营活动产生的现金流量为1.447亿美元,而2023财政年度则为5380万美元。未考虑税收和非现金营运资本和流动税后,公司在2024财政年度的经营中获得了9540万美元,而2023财政年度则为9150万美元。

For the quarter, the Company used $3.3 million for investing activities.

本季度公司的投资活动使用了330万美元。

For the year, the Company used $2.3 million in investing activities which was principally driven by the acquisition of property, plant and equipment for $9.6 million and partly offset by the disposal of instruments held for trading for $7.2 million.

本财政年度,公司的投资活动使用了230万美元,其中960万美元为购置固定资产,部分抵消了持有交易工具收益的720万美元。

For the quarter ended, the Company used cash in financing activities of $15.0 million which was principally a result of the payment of dividends of $14.8 million.

本季度,公司的融资活动使用了1500万美元,这主要是由于支付了1480万美元的股息所致。

For the year ended April 30, 2024, the Company used cash in financing activities of $70.2 million which was principally a result of the payment of dividends of $58.6 million.

截至2024年4月30日的财政年度,公司的融资活动使用了7020万美元,这主要是由于支付了5860万美元的股息所致。

Shipments and Backlog

发货和订单

At the end of May 2024, purchase order backlog was in excess of $295 million and shipments during the month of May 2024 were $32 million.

截至2024年5月底,采购订单积压超过2.95亿美元,而2024年5月份的出货量为3,200万美元。

Dividend Declared

宣布分红

Evertz Board of Directors declared a regular quarterly dividend on June 19, 2024 of $0.195 per share.

Evertz董事会于2024年6月19日宣布了每股0.195美元的常规季度股息。

The dividend is payable to shareholders of record on July 2, 2024 and will be paid on or about July 10, 2024.

该股息将支付给2024年7月2日登记股东,并将于2024年7月10日或前后支付。

Selected Consolidated Financial Information
(in thousands of dollars, except earnings per share and percentages)

所选合并财务信息
(以千美元为单位,除每股收益和百分比之外)



Three month period ended

Twelve month period ended


April 30,

April 30,


2024

2023

2024

2023
Revenue $ 122,770
$ 128,919
$ 514,616
$ 454,578
Cost of goods sold
50,115

52,273

212,173

186,320
Gross margin
72,655

76,646

302,443

268,258








Expenses







Selling and administrative
20,114

17,521

72,274

61,518
General
1,284

1,323

4,672

4,704
Research and development
36,719

29,867

134,843

117,127
Investment tax credits
(4,114)
(3,503)
(14,708)
(13,415)
Share based compensation
1,244

1,223

5,120

4,662
Foreign exchange gain
(2,133)
(252)
(154)
(1,966)

53,114

46,179

202,047

172,630
Earnings before undernoted
19,541

30,467

100,396

95,628







Finance income
577

91

1,661

376
Finance costs
(311)
(2,290)
(1,353)
(3,718)
Net loss on investments through profit and loss
-

(3,277)
(2,704)
(5,364)
Other income and expenses
(238)
930

(642)
888
Earnings before income taxes
19,569

25,921

97,358

87,810
Provision for (recovery of) income taxes






Current
5,563

8,521

26,044

25,066
Deferred
145

(1,151)
287

(1,811)

5,708

7,370

26,331

23,255







Net earnings for the period $ 13,861
$ 18,551
$ 71,027
$ 64,555








Net earnings attributable to non-controlling interest
97

128

857

523
Net earnings attributable to shareholders
13,764

18,423

70,170

64,032
Net earnings for the period $ 13,861
$ 18,551
$ 71,027
$ 64,555








Earnings per share






Basic $ 0.18
$ 0.24
$ 0.92
$ 0.84
Diluted $ 0.18
$ 0.24
$ 0.91
$ 0.84


三个月末

十二个月末


4月30日

4月30日


2024

2023

2024

2023
营业收入 $ 122,770
$ 128,919
$ 514,616
$ 454,578
营业成本
50,115

52,273

212,173

186,320
毛利率
72,655

76,646

302,443

268,258








费用







销售和行政
20,114

17,521

72,274

61,518
总务
1,284

1,323

4,672

4,704
研发
36,719

29,867

134,843

117,127
投资税收抵免
(4,114)
(3,503)
(14,708)
(13,415)
基于股份的报酬
1,244

1,223

5,393

4,662
汇率期货收益
(2,133)
(252)
(154)
(1,966)

53,114

46,179

202,047

172,630
以下是税前收益
19,541

30,467

100,396

95,628







财务收益
577

91

1,661

376
财务成本
(311)
(2,290)
(1,353)
(3,718)
投资损益
-

(3,277)
(2,704)
(5,364)
其他收支
(238)
930

开多642
888
所得税前利润
19,569

25,921

97,358

87,810
所得税费用(收入的提取) 流动所得税费用 5,563 8,521 25,066 递延所得税费用 (1,151) 5,708 7,370 26,331






流动
5,563

8,521

26,044

25,066
递延
145

(1,151)
287

(1,811)

5,708

7,370

26,331

23,255







本期净利润 $ 13,861
$ 18,551
$ 71,027
$ 64,555








少数股东损益
97

128

857

523
归属于股东的净利润
13,764

18,423

70,170

64,032
本期净收益 $ 13,861
$ 18,551
$ 71,027
$ 64,555








每股收益






基本 $ 0.18
$ 0.24
$ 0.92
$ 0.84
摊薄 $ 0.18
$ 0.24
$ 0.91
$ 0.84


April 30,

April 30,

April 30,


2024

2023

2022









Assets








Current assets







Cash and cash equivalents $ 86,325
$ 12,468
$ 33,902
Trade and other receivables
84,350

106,871

100,020
Contract assets
12,554

11,032

6,398
Prepaid expenses
11,179

10,319

5,930
Inventories
206,154

202,479

177,268


400,562

343,169

323,518





Property, plant and equipment
34,384

34,730

37,877
Right-of-use assets
20,432

20,396

24,637
Goodwill
21,352

21,333

21,033
Intangible assets
1,098

2,125

3,317
Investments
-

8,160

5,474
Deferred income taxes
6,894

6,739

5,123

$ 484,722
$ 436,652
$ 420,979






Liabilities




Current liabilities




Bank Indebtedness $ -
$ 5,928
$ -
Trade and other payables
63,249

75,521

68,405
Provisions
4,946

5,104

7,379
Deferred revenue
119,597

69,827

74,267
Current potion of lease obligations
4,296

4,060

4,088
Current potion of redemption liability
3,811

3,711

3,423
Income tax payable
3,226

7,590

7,009

199,125

171,741

164,571






Long term lease obligations
18,920

18,827

22,760


218,045

190,568

187,331






Equity




Capital stock
145,721

143,344

143,502
Share based payment reserve
19,246

14,697

10,893






Accumulated other comprehensive income
1,197

(2,402)
(4,093)
Retained earnings
97,103

87,460

80,636


98,300

85,058

76,543






Total equity attributable to shareholders
263,267

243,099

230,938
Non-controlling interest
3,410

2,985

2,710


266,677

246,084

233,648

$ 484,722
$ 436,652
$ 420,979


4月30日

4月30日

4月30日


2024

2023

2022









资产








流动资产







现金及现金等价物 $ 86,325
$ 12,468
$ 33,902
交易及其他应收款
84,350

106,871

100,020
合同资产
12,554

11,032

6,398
预付款项
11,179

10,319

5,930
存货
206,154

202,479

177,268


400,562

343,169

323,518





资产:固定资产
34,384

34,730

37,877
租赁资产
20,432

20,396

24,637
商誉
21,352

21,333

21,033
无形资产
1,098

2,125

3,317
投资
-

8,160

5,474
延迟所得税
6,894

6,739

5,123

$ 484,722
$ 436,652
$ 420,979






负债




流动负债




银行债务 $ -
$ 5,928
$ -
交易及其他应付款
63,249

75,521

68,405
其他预提款项
4,946

5104

7,379
开多收入
119,597

69,827

74,267
租赁义务的流动部分
4,296

4,060

4,088
赎回义务的流动部分
3,811

3,711

3,423
应付所得税
3,226

7,590

7,009

199,125

171,741

164,571






长期租赁义务
18,920

18,827

22,760


218,045

190,568

187,331






股权




股本
145,721

143,344

143,502
股份支付准备金
19,246

14,697

10,893






累计其他综合收益
1,197

(2,402)
(4,093)
保留盈余
97,103

87,460

80,636


98,300

85,058

76,543






归属于股东的普通股权益合计
263,267

243,099

230,938
非控制权益
3,410

2,985

2,710


266,677

246,084

233,648

$ 484,722
$ 436,652
$ 420,979

Forward-Looking Statements

前瞻性声明

The report contains forward-looking statements reflecting Evertz's objectives, estimates and expectations. Such forward looking statements use words such as "may", "will", "expect", "believe", "anticipate", "plan", "intend", "project", "continue" and other similar terminology of a forward-looking nature or negatives of those terms.

该报告包含反映Evertz目标、估计和预期的前瞻性声明。这样的前瞻性声明使用“可能”、“将”、“期望”、“相信”、“预测”、“计划”、“打算”、“项目”、“继续”和其他类似前瞻性术语或这些术语的否定。

Although management of the Company believes that the expectations reflected in such forward-looking statements are reasonable, all forward-looking statements address matters that involve known and unknown risks, uncertainties and other factors. Accordingly, there are or will be a number of significant factors which could cause the Company's actual results, performance or achievements, or industry results to be materially different from any future results performance or achievements expressed or implied by such forward-looking statements.

虽然公司管理层认为这样的前瞻性声明所反映的期望是合理的,但所有前瞻性声明都涉及已知和未知的风险、不确定性和其他因素。因此,会有一些重要因素可能导致公司的实际结果、业绩或成就,或行业结果与任何未来结果、业绩或成就所表述或暗示的结果实质上不同。

Conference Call

电话会议

The Company will hold a conference call with financial analysts to discuss the results on
June 19, 2024 at 5:00 p.m. (EDT). Media and other interested parties are invited to join the conference call in listen-only mode. The conference call may be accessed by dialing 289-514-5100 or toll-free (North America) 1-800-717-1738.

公司将与财务分析师举行电话会议,讨论结果。时间是2024年6月19日下午5点(东部时间)。媒体和其他感兴趣的方在审核模式下可以参加电话会议。可以拨打289-514-5100或免费电话(北美)1-800-717-1738接入电话会议。
无法收听现场通话的人也可以在2023年7月21日之前通过拨打289-819-1325或免费电话1-888-660-6264收听重播。重播的密码是11656#。

For those unable to listen to the live call, a rebroadcast will also be available until
July 21, 2023. The rebroadcast can be accessed at 289-819-1325 or toll-free 1-888-660-6264. The pass code for the rebroadcast is 11656#.

这些解决方案是由内容创建者、广播公司、专业频道和电视服务提供商购买的,以支持它们日益复杂的多渠道数字、高及超高清晰度电视(“HDTV”和“UHD”)和下一代高带宽低延迟IP网络环境,还有由电信和新媒体公司购买的。该公司的产品使客户能够通过有效的信号路由、分发、监控和内容管理以及在本地和“云”中更加流畅、敏捷的工作流程的自动化和协调来生成额外的收入同时减少成本。
2023年7月21日。重新播放可通过289-819-1325或免费电话1-888-660-6264进行访问。重新播放的密码为11656#。

About Evertz

关于Evertz

Evertz Technologies Limited (TSX: ET) designs, manufactures and markets video and audio infrastructure solutions for the television, telecommunications and new-media industries. The Company's solutions are purchased by content creators, broadcasters, specialty channels and television service providers to support their increasingly complex multi-channel digital, and high and ultra-high definition television ("HDTV" and "UHD") and next generation high bandwidth low latency IP network environments and by telecommunications and new-media companies. The Company's products allow its customers to generate additional revenue while reducing costs through efficient signal routing, distribution, monitoring and management of content as well as the automation and orchestration of more streamlined and agile workflow processes on premise and in the "Cloud".

Evertz Technologies Limited(TSX:ET)设计、制造和营销电视、电信和新媒体行业的视频和音频基础设施解决方案。该公司的解决方案是由内容创建者、广播公司、专业频道和电视服务提供商购买的,以支持它们日益复杂的多渠道数字、高及超高清晰度电视(“HDTV”和“UHD”)和下一代高带宽低延迟IP网络环境,还有由电信和新媒体公司购买的。该公司的产品使客户能够通过有效的信号路由、分发、监控和内容管理以及在本地和“云”中更加流畅、敏捷的工作流程的自动化和协调来生成额外的收入同时减少成本。

For further information please contact:
Doug Moore, CPA, CA
Chief Financial Officer
(905) 335-3700
ir@evertz.com

要了解更多信息,请联系:
道格·摩尔,注册会计师,特许公认会计师
致富金融
(905)335-3700
ir@evertz.com

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