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01 Communique Provides Update on Business Developments and Second Quarter Fiscal 2024 Results

01 Communique Provides Update on Business Developments and Second Quarter Fiscal 2024 Results

01 Communique提供业务发展和2024财年第二季度业绩更新
Accesswire ·  06/20 08:00

TORONTO, ON / ACCESSWIRE / June 20, 2024 / 01 Communique Laboratory Inc. (the "Company") (TSXV:ONE)(OTC PINK:OONEF), one of the first-to-market, enterprise level cybersecurity providers for the quantum computing era, is pleased to report the Company's second quarter fiscal 2024 results, which ended April 30, 2024.

TORONTO, ON / ACCESSWIRE / 2024年6月20日 / 01 Communique Laboratory Inc.("公司")(TSXV:ONE)(OTC PINK:OONEF)是首批以量子计算时代为企业服务的企业级网络安全提供商之一,很高兴地宣布公司2024财年第二季度截至2024年4月30日的财务业绩报告。

Andrew Cheung, CEO of the Company, commented, "We continue to witness increased attention towards quantum-safety in many technological fields including AI and cryptocurrencies. With a goal to establish standards for Post-Quantum Cryptography ("PQC"), in April 2024, the National Institute of Science and Technology ("NIST") hosted what is believed to be their last PQC conference prior to publishing their final recommendation of PQC algorithms expected later this year. We believe we have a significant advantage over our competitors as we have been able to predict NIST's recommendations years before their final announcement. To date 4 out of 5 of NIST's recommendations have been incorporated in our existing IronCAP PQC cryptographic engine. We are now waiting for NIST's final announcement to be a perfect 5/5. Q-Day attention witnessed this year was dovetailed by our recent activities with existing and new potential partners, of which announcements will be made at the appropriate times if/when they happen."

公司CEO Andrew Cheung评论道:"我们继续看到许多技术领域包括人工智能和加密货币对量子安全的关注度提高。为了建立量子后密码学标准("PQC"), 2024年4月,科技局("NIST")主持了PQC会议,据信这是他们在今年后发布PQC算法的最后建议。我们相信我们比竞争对手具有重大优势,因为我们能够预测NIST的建议提出后多年的最终公告。迄今为止,NIST的5个建议中的4个已纳入我们现有的IronCAP PQC加密引擎中。我们现在正在等待NIST的最终公告来成为5/5。今年的Q-Day注意力由我们与现有和潜在的新合作伙伴最近的活动所助长,如果/发生时,适当的时候会做出公告。"

Andrew Cheung continued, "Our business roadmap continues as planned. With the major part of our development complete and the release of a number of practical PQC applications, we have entered a different stage of operation whereby we continue to reduce our operation loss moving towards breakeven and looking to becoming profitable with revenue building from our partners and customers."

Andrew Cheung继续说道: "我们的业务路线图按计划进行。随着我们的大部分开发已完成并推出了多项实用的PQC应用程序,我们进入了不同的运营阶段,继续减少运营亏损并期望得到来自我们的合作伙伴和客户的创收以实现盈利。"

Financial Highlights:

财务业绩亮点:

The loss for the quarter was $68,638 (2023 - $187,292). The adjusted loss excluding stock-based compensation and depreciation, which are non-cash expenses, was $28,508 (2023 - $123,091) a reduction of $94,583. The Company completed the quarter with $175,830 of cash. Ongoing cash operating expenses have been significantly reduced. The goal is to keep them in line with the level of ongoing recurring revenue.

本季度亏损为68,638美元(2023年为187,292美元)。扣除股票补偿和折旧等非现金费用的调整亏损为28,508美元(2023年为123,091美元),减少了94,583美元。公司本季度以175,830美元的现金结算。持续的现金营业费用已大幅减少。目标是将其与持续重复性收入的水平保持一致。

Cash operating expenses which exclude stock-based compensation and depreciation for the quarter were $128,240 (2023 - $240,239) a reduction of $111,999.

本季度排除掉股票补偿和折旧的营业费用为128,240美元(2023年为240,239美元),减少了111,999美元。

Product development expenses were $44,812 (2023 - $118,312 a decrease of $73,500. A number of development projects were completed throughout fiscal 2023 allowing the Company to reduce development expenses. The Company makes use of third-party independent contractors for the majority of its product development.

产品开发费用为44,812美元(2023年为118,312美元),减少了73,500美元。在2023财年中,完成了多个开发项目,使公司能够减少开发费用。该公司大部分产品开发由第三方独立承包商完成。

SG&A expenses, net of stock-based compensation was $85,627 (2023 - $124,337) a decrease of 38,710.

销售总费用净额(排除股票补偿)为85,627美元(2023年为124,337美元),减少了38,710美元。

Revenue for the quarter was $106,220 (2023 - $127,782) a decrease of $21,562. Revenue was negatively impacted by a weakening of the Japanese Yen to the Canadian dollar.

本季度收入为106,220美元(2023年为127,782美元),减少了21,562美元。收入受日元对加元汇率走弱的负面影响。

Grant of Stock Options

发放股票期权

The Company granted stock options pursuant to its stock option plan to directors and executives of the Company to purchase up to an aggregate of 1,320,000 common shares in the Company. The options were granted on June 19, 2024 and are exercisable at a price of $0.05 per share for a period of four years from the date of grant. The options vest over a period of two years, with 25% vesting on each of December 19, 2024, June 19, 2025, December 19, 2025 and June 19, 2026. The options, and the shares issuable upon exercise, will be subject to applicable securities and regulatory laws. After granting these stock options there will be a total of 6,265,000 options outstanding under the stock option plan.

公司根据其股票期权计划向公司董事和高管授予权利,可购买公司共1,320,000股普通股。这些权利于2024年6月19日授予,行权价格为每股0.05美元,有效期为自授予之日起四年。这些权利在两年内归属,其中25%在2024年12月19日,2025年6月19日,2025年12月19日和2026年6月19日各归属。这些权利和行权后发行的股份将受适用的证券和监管法律法规的限制。在授予这些期权后,股票期权计划将共有6,265,000个未平仓合约。

Conference Call Reminder and Information:

电话会议提醒和信息:

01 Communique will host a live teleconference allowing for questions and answers later today at 10:00AM EST (June 20, 2024) to discuss the Company's results as well as providing an update on the business prospects for IronCAP and IronCAP X.

01 Communique将于今天下午10:00 EST(2024年6月20日)举行直播电话会议,以讨论公司的财务业绩并提供有关IronCAP和IronCAP X业务前景的更新,并回答问题。

Browser (please cut-and-paste the following link into your browser):

请使用浏览器打开以下链接:

Passcode: ironcap24

密码:ironcap24

Dial-in:

电话接入:

Within Canada (647) 374-4685 or (647) 558-0588

加拿大境内:(647) 374-4685 或 (647) 558-0588

Within the USA (646) 558 8656 or (669) 900 9128

美国境内:(646) 558 8656 或 (669) 900 9128

Webinar ID when prompted is 832 7263 0612

网络研讨会ID是832 7263 0612

Passcode: 046969719

密码:046969719

About 01 Communique

关于01 Communique

Established in 1992, 01 Communique (TSXV:ONE);(OTC PINK:OONEF) has always been at the forefront of technology. The Company's cyber security business unit focuses on post-quantum cybersecurity with the development of its IronCAP product line. IronCAP 's technologies are patent-protected in the U.S.A. by its patents #11,271,715 and #11,669,833. The Company's remote access business unit provides its customers with a suite of secure remote access services and products under its I'm InTouch and I'm OnCall product offerings. The remote access offerings are protected in the U.S.A. by its patents #6,928,479 / #6,938,076 / #8,234,701; in Canada by its patents #2,309,398 / #2,524,039 and in Japan by its patent #4,875,094. For more information, visit the Company's web site at and .

01 Communique(TSXV:ONE);(OTC PINK:OONEF)成立于1992年,一直处于技术的前沿。该公司的网络安全业务部门专注于量子后网络安全,并开发了其IronCAP产品线。IronCAP技术在美国受到专利保护,专利号为#11,271,715和/或#11,669,833。该公司的远程访问业务部门为其客户提供一套安全的远程访问服务和产品,其中包括其I'm InTouch和I'm OnCall产品。远程访问产品在美国受其专利保护,专利号为#6,928,479 / #6,938,076 / #8,234,701;在加拿大则是#2,309,398 / #2,524,039;在日本则是#4,875,094。有关更多信息,请访问该公司网站 关于未来展望的警示性声明。.

Cautionary Note Regarding Forward-looking Statements.

本新闻发布中的某些声明可能构成"前瞻性"声明,其涉及已知和未知的风险,不确定性和其他因素,可能会导致公司或行业的实际结果,绩效或成果与任何未来结果,绩效或成果都存在实质不同。当在本新闻发布的时候,这些声明使用这样的词语"可能","将","期望","相信","计划","意图","有信心"和其他类似的术语。此类声明包括关于IronCAP X商业成功,量子计算机的未来及其对公司产品供应的影响,公司产品的功能以及公司技术的预期产品线以及公司技术的潜在许可等内容。这些声明反映了关于未来的事件和业绩的当前预期,并仅在本新闻发布日期有效。前瞻性声明涉及重大风险和不确定性,不应作为对未来业绩或结果的保证,并不一定是未来业绩或结果实现的准确指示。许多因素可能导致实际结果与前瞻性声明的结果有所不同,包括但不限于,在公司管理的"风险和不确定性"等关键因素中讨论的因素。虽然本新闻发布中所包含的前瞻性声明基于公司管理层认为合理的假设,但公司不能保证投资者实际结果会与这些前瞻性声明一致。这些前瞻性声明是以本新闻发布的日期为基础的,公司不承担更新或修订这些前瞻性声明以反映新事件或情况的义务。

Certain statements in this news release may constitute "forward-looking" statements which involve known and unknown risks, uncertainties and other factors which may cause the actual results, performance or achievements of the Company, or industry results, to be materially different from any future results, performance or achievements expressed or implied by such forward-looking statements. When used in this news release, such statements use such words as "may", "will", "expect", "believe", "plan", "intend", "are confident" and other similar terminology. Such statements include statements regarding the commercial success of IronCAP X, the future of quantum computers and their impact on the Company's product offering, the functionality of the Company's products and the intended product lines for the Company's technology and the potential licensing of the Company's technology. These statements reflect current expectations regarding future events and operating performance and speak only as of the date of this news release. Forward-looking statements involve significant risks and uncertainties, should not be read as guarantees of future performance or results, and will not necessarily be accurate indications of whether or not such results will be achieved. A number of factors could cause actual results to differ materially from the results discussed in the forward-looking statements, including, but not limited to, the factors discussed under "Risk and Uncertainties" in the Company's Management`s Discussion and Analysis document filed on SEDAR+. Although the forward-looking statements contained in this news release are based upon what management of the Company believes are reasonable assumptions, the Company cannot assure investors that actual results will be consistent with these forward-looking statements. These forward-looking statements are made as of the date of this news release, and the Company assumes no obligation to update or revise them to reflect new events or circumstances.

01 Communique实验室公司。

Neither TSX Venture Exchange ("TSX-V") 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.

tsx创业公司交易所及其监管服务提供商(如tsx创业公司规则中所定义的那样)不对本公告的充分性或准确性承担责任。

INVESTOR CONTACT:

投资者联系方式:

Brian Stringer
Chief Financial Officer
01 Communique
(905) 795-2888 x204
Brian.stringer@01com.com

Brian Stringer
致富金融(临时代码)
01 Communique
(905) 795-2888 x204
Brian.stringer@01com.com

01 Communique Laboratory Inc.
SELECTED FINANCIAL INFORMATION
UNAUDITED
Consolidated Statements of Financial Position
As at April 30, 2024 and October 31, 2023

截至2024年4月30日和2023年10月31日。
精选财务信息
未经审计的
合并财务状况表
截至2024年4月30日和2023年10月31日

30-Apr-24 31-Oct-23


Assets


Current assets


Cash
$ 175,830 $ 272,540
Guaranteed investment certificate
- 80,000
Accounts receivable
59,603 87,966
Prepaid expenses and other assets
9,265 6,060
244,698 446,566
Plant and equipment
59,729 37,375
Total assets
$ 304,427 $ 483,941
Liabilities and Shareholders' Deficit
Current liabilities
Accounts payable
$ 69,952 $ 145,989
Deferred revenue
4,836 4,009
Lease liability
44,895 19,878
Canadian emergency business account loan
- 40,000
119,683 209,876
Shareholders' deficit
Share capital
44,282,090 44,282,090
Contributed surplus
6,378,771 6,287,173
Warrants
16,875 16,875
Deficit
(50,492,992) (50,312,073)
184,744 274,065
Total liabilities and shareholders' deficit
$ 304,427 $ 483,941
24年4月30日 31-Oct-23


资产


流动资产


现金
$ 175,830 $ 272,540
保证投资证书
- 80,000
应收账款
59,603 87,966
预付款项和其他资产
9,265 6,060
244,698 446,566
厂房和设备
59,729 37,375
总资产
$ 304,427 $ 483,941
负债和股东权益
流动负债
应付账款
$ 69,952 $ 145,989
递延收入
4,836 4,009
租赁负债
44,895 19,878
加拿大紧急业务账户贷款
- 40,000
119,683 209,876
股东赤字
股本
44,282,090 44,282,090
资本公积
6,378,771 6,287,173
权证
16,875 16,875
赤字
(50,492,992) (50,312,073)
184,744 274,065
负债合计和股东权益赤字总额
$ 304,427 $ 483,941


01 Communique Laboratory Inc.
SELECTED FINANCIAL INFORMATION
UNAUDITED
Consolidated Statements of Operations and Comprehensive Income
For the 3 and 6 month periods ended April 30, 2024 and 2023


01 Communique实验室公司
精选财务信息
未经审计的
综合收支及利润表
2024年4月30日和2023年6月期间结束的3个月和6个月

three months ended six months ended
30-Apr-24 30-Apr-23 30-Apr-24 30-Apr-23




Revenue
$ 106,220 $ 127,782 $ 204,690 $ 234,585
Expenses:
Selling, general and administrative
123,558 186,128 275,672 385,353
Research and development
44,812 118,312 96,559 265,995
Withholding taxes
7,623 12,395 16,133 22,645
175,993 316,835 388,364 673,993
Loss before other income and expense
(69,773) (189,053) (183,674) (439,408)
Interest income
1,548 2,698 3,660 6,342
Interest expense
(413) (937) (905) (1,734)
Loss and comprehensive loss
$ (68,638) $ (187,292) $ (180,919) $ (434,800)
Loss per common share
Basic
$ (0.00) $ (0.00) $ (0.00) $ (0.00)
Diluted
$ (0.00) $ (0.00) $ (0.00) $ (0.00)
Weighted average number of common shares
Basic
96,364,554 96,101,646 96,364,554 96,101,646
Diluted
96,364,554 96,101,646 96,364,554 96,101,646
结束于三个月 结束于六个月
24年4月30日 23年4月30日 24年4月30日 23年4月30日




营业收入
$ 106,220 $ 127,782 $ 204,690 $ 234,585
费用:
销售、一般及行政费用
123,558 186,128 275,672 385,353
研发
44,812 118,312 96,559 265,995
预提税款
7,623 12,395 16,133 22,645
175,993 316,835 388,364 673,993
其他收支前的亏损
(69,773) (189,053) (183,674) (439,408)
利息收入
所有板块 2,698 7891 6,342
利息费用
(413) (937) (905)278-2200 (1,734)
亏损及综合损失
$ (68,638) $ (187,292) $ (180,919) $ (434,800)
每股普通股的亏损
基本
$ (0.00) $ (0.00) $ (0.00) $ (0.00)
摊薄
$ (0.00) $ (0.00) $ (0.00) $ (0.00)
普通股加权平均数目
基本
96,364,554 96,101,646 96,364,554 96,101,646
摊薄
96,364,554 96,101,646 96,364,554 96,101,646

01 Communique Laboratory Inc.
SELECTED FINANCIAL INFORMATION
UNAUDITED
Consolidated Statements of Cash Flows
For the 3 and 6 month periods ended April 30, 2024 and 2023

01 Communique实验室公司
精选财务信息
未经审计的
现金流量表(合并)
截至2024年4月30日和2023年4月30日的3个月和6个月期间

three months ended six months ended
30-Apr-24 30-Apr-23 30-Apr-24 30-Apr-23
Cash provided by (used in):








Operating activities:




Loss and comprehensive loss for the period
$ (68,638) $ (187,292) $ (180,919) $ (434,800)
Adjustments to reconcile loss for the
period to net cash flows from operating activities:
Depreciation of property and equipment
2,199 2,410 4,668 4,932
Amortization of right-of-use asset
11,593 11,219 22,812 22,438
Stock-based compensation expense
37,931 61,791 91,598 120,882
Change in non-cash working capital
(14,339) (23,402) (50,052) 41,921
(31,254) (135,274) (111,893) (244,627)
Financing activities:
Proceeds from private placement
67,500
Payment of loan
- - (40,000) -
Lease payments made
(12,380) (11,918) (24,274) (23,524)
(12,380) (11,918) (64,274) 43.976
Investing activities:
Proceeds from guaranteed investment certificate
20,000 - 80,000 30,000
Purchase of property and equipment
- (340) (543) (340)
20,000 (340) 79,457 (29,670)
Decrease in cash
(23,634) (147,532) (96,710) (170,991)
Cash, beginning of period
199,464 463,720 272,540 487,179
Cash, end of period
$ 175,830 $ 316,188 $ 175,830 $ 316,188
结束于三个月 结束于六个月
24年4月30日 23年4月30日 24年4月30日 23年4月30日
现金净流入(流出)情况:








经营活动:




本期亏损和综合亏损
$ (68,638) $ (187,292) $ (180,919) $ (434,800)
调整为经营活动现金流量的净现金流量:
期间现金流量净额的调整为经营活动现金流量净额:
固定资产折旧
2,199 2,410 4,668 4,932
租赁权资产摊销
11,593 11,219 22,812 22,438
股票补偿费用
37,931 61,791 91,598 120,882
非现金流动资产的变动
(14,339) (23,402) (50,052) 41,921
(31,254) (135,274) (111,893) (244,627)
筹资活动:
定向增发所得款项
67,500
偿还贷款
- - (40,000) -
支付租赁款
(12,380) (11,918) (24,274) (23,524)
(12,380) (11,918) (64,274) 43.976
投资活动:
保证投资证书的收益
20,000 - 80,000 30,000
购置固定资产等资产支出
- (340) (543) (340)
20,000 (340) 79,457 (29,670)
现金减少
(23,634) (147,532) (96,710) (170,991)
期初现金
199,464 463,720 272,540 487,179
期末现金
$ 175,830 $ 316,188 $ 175,830 $ 316,188

SOURCE: 01 Communique Laboratory, Inc.

资料来源: 01 Communique Laboratory, Inc.


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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