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AirIQ Announces March 31, 2024 Year End Results Reports Record Year for Recurring Revenue

AirIQ Announces March 31, 2024 Year End Results Reports Record Year for Recurring Revenue

AirIQ宣布截至2024年3月31日的年终业绩报告,营业收入实现了创纪录的增长。
Accesswire ·  2024/07/18 19:30

TORONTO, ON / ACCESSWIRE / July 18, 2024 / AirIQ Inc. ("AirIQ") (TSXV:IQ), a leader in IoT-based asset management solutions since 1997, today announced its financial results for the year ended March 31, 2024, reporting the highest recurring revenue since it began tracking this metric.

AirIQ Inc.("AirIQ")(tsxv:iq)自1997年以来一直是物联网资产管理解决方案的领先者,本日宣布其2024年3月31日结束财年的财务业绩,报告了自开始跟踪该指标以来最高的循环收入。

"We are very pleased to report that recurring revenue increased by 11% compared to the previous year." said Mike Robb, President and Chief Executive Officer of AirIQ. "We have reported recurring revenue growth for the eighth straight year representing an increase of over 100% during this period. The growth in recurring revenues has provided a strong base for future growth and profitability for our shareholders".

"我们非常高兴地宣布,与去年相比,我们的营业收入增长了11%。" AirIQ总裁兼首席执行官Mike Robb说。"我们已连续八年报告营业收入增长,这段期间增长超过了100%。营业收入的增长为我们股东提供了未来增长和盈利的强有力基础。"

"Over the past eight years, AirIQ has not only been consistently profitable but has also generated positive cash flow from operations. This has allowed us to take this opportunity to begin heavily investing in our sales and marketing efforts in order to lay the foundation for future growth in our recurring revenue at an accelerated rate", continued Mr. Robb.

"在过去的八年中,AirIQ不仅一直保持盈利能力,而且还从营运活动中获得了正向的现金流。这使我们有机会开始大力投资于销售和营销工作,以便加速我们的营业收入增长,为未来增长奠定基础。" Robb先生继续说道。

"In addition, during the fourth quarter, we successfully completed an acquisition of a customer base which generate approximately $370,000 of annual recurring revenue and represents an acquisition cost of less than 1x. We believe this acquisition will continue to drive recurring revenue growth in future periods and will continue to provide increased shareholder value", continued Mr. Robb.

"此外,在第四季度,我们成功地完成了一项客户基础的收购,这个客户基础每年创造大约370,000美元的营业收入,且收购成本不足1倍。我们相信,这项收购将在未来的几个季度继续推动营业收入的增长,并持续提供增长的股东价值。" Robb先生继续说道。

All dollar amounts set out herein are in Canadian dollars unless marked otherwise.

除非另有标记,否则此处所设定的所有金额为加币。

Highlights for the year are as follows:

本年度亮点回顾:

Annual Highlights (for the year ended March 31, 2024 compared to March 31, 2023):

年度亮点(截至2024年3月31日,相比于2023年3月31日):

  • Highest recurring revenue since the tracking of this metric began of $4,368,399 increased by 11% or $417,222 compared to $3,951,177 for the prior year.

  • Hardware and other revenue of $1,145,697 increased by 4% or $47,582 compared to $1,098,115 for the prior year.

  • Total revenue of $5,514,097 increased by 9% or $464,805 compared to $5,049,292 for the prior year.

  • Gross profit of $3,354,091 increased by 10% or $317,996 compared to $3,036,095 for the prior year.

  • Net income of $868,943 increased 1% or $5,707 compared to $863,236 over the prior year excluding the one-time deferred tax recovery of $2,830,204. Net income after tax decreased 76% or $2,824,497 compared to $3,693,440 for the prior year.

  • Cash and cash equivalents balance of $3,125,420 increased by 44% or $949,277 compared to $2,176,143 for the prior year period, marking this as the highest cash balance in the last 10 years.

  • Working capital of $3,411,865 increased by 24% or $663,625 compared to $2,748,240 for the prior year.

  • 从开始跟踪该指标以来的最高循环收入为4368399加元,比上一财年增加11%或417222加元,而上一财年为3951177加元。

  • 硬件和其他收入为1145697加元,比上一财年增加4%或47582加元,而上一财年为1098115加元。

  • 总收入为5514097加元,比上一财年增加9%或464805加元,而上一财年为5049292加元。

  • 毛利润为3354091加元,比上一财年增加10%或317996加元,而上一财年为3036095加元。

  • 扣除一次性递延税款收入2830204加元后,净收入为868943加元,比上一财年增加1%或5707加元,而上一财年为863236加元。净收入税后下降76%或2824497加元,而上一财年为3693440加元。

  • 现金及现金等价物余额为3125420加元,比上一年同期增加44%或949277加元,这是过去10年中现金余额最高的一个季度。

  • 运营资金为3411865加元,比上一财年增加24%或663625加元,而上一财年为2748240加元。

Fourth Quarter Highlights:

第四季度亮点:

  • Recurring revenue of $1,097,161 increased by 4% or $46,258 compared to $1,050,903 for same quarter in the prior year and increased by 1% or $6,406 compared to $1,090,755 from the prior quarter.

  • Net income of $204,017 for the quarter increased by 30% or $46,585 compared to $157,432 for the same quarter in the prior year (excluding the one-time deferred tax recovery of $2,830,000).

  • 循环收入为1097161加元,比上一年同季度增加4%或46258加元,而上一财季为1090755加元,比上一季度增长1%或6406加元。

  • 本季度净收入为204017加元,比上一年同季度增加30%或46585加元(不包括一次性递延税款收入2830000加元)。

Business Review

业务回顾

Intangibles - Customer Contracts

无形资产-客户合同

During the year ended March 31, 2024, the Company has acquired customer lists from a former reseller of the Company through the settlement of trade receivables in the amount of $218 (March 31, 2023 - $312), which was recognized as the value of the intangible asset. The acquisition did not require the use of cash by the Company and there are no additional costs associated with the acquisition.

在截至2024年3月31日的一年中,公司通过结算应收账款的方式从一家前代理商处购买了客户名单,金额为218加元(2023年3月31日为312加元),这被认定为无形资产的价值。该公司的收购不需要使用现金,也没有与收购相关的其他费用。

Normal Course Issuer Bid

普通股回购计划

The Company filed a Notice of Intention to Make a Normal Course Issuer Bid (the "Bid") with the TSX Venture Exchange ("TSXV") commencing June 23, 2023 and ending on June 22, 2024. Pursuant to the Bid, the Company proposed to purchase through the facilities of the TSXV up to 1,468,379 common shares, representing approximately 5% of the then issued and outstanding common shares of the Company.

公司向TSX Venture Exchange("TSXV")提交了《意向通知书》("Bid"),于2023年6月23日开始,于2024年6月22日结束。根据Bid,公司拟通过TSXV的设施购买高达1468379股普通股,该股份约占公司已发行和流通普通股的5%。

During the year ended March 31, 2024, the Company purchased 140,000 common shares for cancellation under the Bid for a total of $51 or $0.36 per common share (March 31, 2023 - 360,500 common shares were purchased for cancellation for a total of $98 or $0.27 per common share), plus an additional $1 in broker fees were paid for the repurchase of the shares (March 31, 2023 - $1). The 140,000 common shares were cancelled on April 21, 2024.

在截至2024年3月31日的一年中,公司在买盘中以总价51美元或每股0.36美元的价格购买了140,000股普通股以进行注销(2023年3月31日 - 以总价98美元或每股0.27美元的价格购买了360,500股普通股进行注销),另外支付了1美元的经纪人费用进行股份回购(2023年3月31日 - 1美元)。这140,000股普通股于2024年4月21日被注销。

Stock Option Plan

股票期权计划

On September 21, 2023 and on March 25, 2024, the Company granted options to officers of the Company to acquire up to 100,000 and 400,000 common shares, respectively, in the capital of the Company at an exercise price of $0.44 and $0.42, respectively, per share. The Company also granted options to a Board member to acquire up to 50,000 common shares at an exercise price of $0.44 per share on September 21, 2023.

公司于2023年9月21日和2024年3月25日向公司高管授予期权,以购买公司资本中的最高100,000股和400,000股普通股,行使价格分别为每股0.44美元和每股0.42美元。公司还授予董事会成员自2023年9月21日起行使价格为每股0.44美元的期权以购买最高50,000股普通股。

Subsequent Events

后续事件

Normal Course Issuer Bid

普通股回购计划

Subsequent to March 31, 2024, the Company had repurchased an aggregate of 17,500 common shares for cancellation (purchase dates of April 11, 2024 of 5,000 common shares, May 16, 2024 of 10,000 common shares, and May 17, 2024 of 2,500 common shares) under the current Bid.

截至2024年3月31日后,公司在当前买盘下回购了17,500股普通股进行注销(购买日期分别为2024年4月11日的5,000股普通股、2024年5月16日的10,000股普通股和2024年5月17日的2,500股普通股)。

The Company had also announced the renewal of its normal course issuer bid on June 24, 2024, to purchase up to 1,468,004 common shares representing 5% of the Company's then current issued and outstanding common shares through the facilities of the TSXV during the period commencing June 27, 2024 and ending on June 26, 2025 (the "Renewal Bid"). As of July 8, 2024, the Company has not repurchased any shares for cancellation pursuant to the Renewal Bid.

公司于2024年6月24日宣布更新其正常股票回购计划,在2024年6月27日至2025年6月26日期间通过tsxv就代表公司发行和流通的普通股购买最高1,468,004股普通股,占公司当时发行和流通的普通股的5%(“更新买盘”)。截至2024年7月8日,公司尚未根据更新买盘回购任何股票进行注销。

As of the time of issuance of this press release, the Company has a total of 29,360,074 common shares issued and outstanding.

截至本新闻发布之时,公司共发行和流通2936,0074股普通股。

Acquisition

收购

Subsequent to March 31, 2024, the Company had purchased certain assets including customers and licenses from a privately held dealer effective May 17, 2024 for a purchase price of U.S. $40,000 ($55,000).

截至2024年3月31日后,公司已经购买了某些资产,包括客户和许可证,从一家私人经销商处生效日期为2024年5月17日,购买价为40,000美元(55,000美元)。

SELECTED ANNUAL INFORMATION
Financial Highlights
In thousands of Canadian Dollars

精选年度信息
财务要点
以加拿大元千位为单位

Year ended

Year ended

Year ended

31-Mar-2024

31-Mar-2023

31-Mar-2022

Recurring revenues

$4,368

$3,951

$3,504

Hardware and other revenues

$1,146

$1,098

$866

Total revenues

$5,514

$5,049

$4,370

Gross profit

$3,354

$3,036

$2,679

Gross profit margin %

61%

60%

61%

Expenses (1)

$2,052

$1,885

$1,770

EBITDAS (2)

$1,302

$1,151

$909

Other expenses (3)

$433

$288

$342

Deferred tax recovery

-

$2,830

-

Total net income

$869

$3,693

$567

Income per share, basic

$0.03

$0.13

$0.02

Income per share, diluted

$0.03

$0.12

$0.01

年度完结

年度完结

年度完结

2024年3月31日

2023年3月31日

2022年3月31日

循环收入

$4,368

$3,951

$3,504

硬体和其他收入

$1,146

$1,098

$866

总收入

$5,514

$5,049

$4,370

毛利润

$3,354

$3,036

$2,679

毛利润率%

61%

60%

61%

支出(1)

$2,052

$1,885

1770美元

EBITDAS(2)

$1,302

$1,151

$909

其他费用(3)

$433

$288

$342

递延税款收回

-

$2,830

-

净利润总额

$869

$3,693

$567

每股基本收益

0.03美元

0.13元

$0.02

每股摊薄收益

0.03美元

$0.12

$0.01

  1. Excludes share-based compensation and foreign exchange.

  2. EBITDAS represents earnings before interest and non-cash items: depreciation and amortization, impairment of long-lived assets and share-based compensation.

  3. Includes non-cash notional charges such as interest, depreciation and amortization, share-based expense and a one-time gain on deferred tax assets.

  1. 不包括股权激励和汇率期货。

  2. EBITDAS代表利润前利息和非现金项:折旧和摊销,长期资产减值和股权激励。

  3. 包括非现金虚拟费用,如利息,折旧和摊销,股权支出以及一次性递延税资产收益。

Overview

概述

The Company's audited consolidated financial statements include the accounts of AirIQ and its subsidiaries, AirIQ U.S. Holdings, Inc., AirIQ U.S., Inc., and AirIQ, LLC. All inter-company balances and transactions have been eliminated on consolidation.

公司的审计合并财务报表包括AirIQ及其子公司AirIQ U.S. Holdings,Inc.,AirIQ U.S.,Inc.和AirIQ,LLC。所有公司间余额和交易在合并时已予以消除。

Financial Statements & MDA

基本报表&MDA

The Company's audited consolidated financial statements for the years ended March 31, 2024 and 2023 including notes thereto, and Management's Discussion and Analysis for the same period are being filed with the Canadian securities regulatory authorities on today's date and will be available on the Company's website () and on the System for Electronic Document Analysis and Retrieval ("SEDAR") website (). The Company's financial statements include the accounts of AirIQ and its subsidiaries, AirIQ U.S. Holdings, Inc., AirIQ U.S., Inc., and AirIQ, LLC. All inter-company balances and transactions have been eliminated on consolidation.

公司于2024年3月31日和2023年3月31日结束的年度审核合并财务报表(含相关附注)以及同期管理层讨论与分析报告已于今日提交加拿大证券监管机构,并将于公司网站()和电子文件分析与检索系统("SEDAR")网站()上提供。公司财务报表包括AirIQ及其子公司AirIQ U.S. Holdings,Inc.,AirIQ U.S.,Inc.和AirIQ,LLC的账目。所有公司内部结算余额和交易已在合并报表中消除。

About AirIQ

关于AirIQ AirIQ (TSXV:IQ)成立于1997年,是IoT基础资产管理解决方案的先驱。AirIQ的解决方案可使商业企业以可靠、高效和有效的方式几乎实时地监测资产。公司开发了基于iOS、Android移动设备和基于云端的解决方案,可作为独立解决方案或可轻松与现有软件集成。AirIQ的解决方案可支持多个硬件选项,并提供车队报告、维护、合规、安全和分析功能,同时还提供了一个完全集成的视频远程监控摄像头解决方案以及针对非动力资产的电池供电解决方案。更多有关AirIQ的信息,请访问公司的网站或关注我们在LinkedIn、Facebook、Twitter和Instagram上的动态。

AirIQ (TSXV: IQ) was founded in 1997 and is a pioneer in IoT based asset management solutions. AirIQ's solutions allow commercial businesses to reliably, effectively and efficiently monitor assets in near real time. The Company develops iOS and Android mobile and web-based applications, and cloud-based solutions that stand-alone or that can be readily integrated with existing software. AirIQ solutions are mixed fleet capable and provide fleet reporting, maintenance, compliance, safety and analytics utilizing multiple hardware options including a fully integrated video telematics camera solution and a battery powered solution for non-powered assets. For additional information on AirIQ please visit the Company's website at or follow us on LinkedIn.

AirIQ(tsxv:IQ)成立于1997年,是物联网资产管理解决方案的先驱。AirIQ的解决方案允许商业企业可靠、有效地、高效地几乎实时地监控资产。公司开发独立或可轻松与现有软件集成的iOS和Android移动和基于Web的应用程序和云解决方案。AirIQ解决方案具备混合车队能力,并提供车队报告、维护、合规、安全和分析,利用多种硬件选项,包括完全集成的视频遥测摄像头解决方案和用于非动力资产的电池供电解决方案。有关AirIQ的详细信息,请访问公司网站或在LinkedIn上关注我们。

Forward-looking Statements

前瞻性声明

This news release contains forward-looking information based on management's best estimates and the current operating environment. These forward-looking statements are related to, but not limited to, AirIQ's operations, anticipated financial performance, business prospects and strategies. Forward-looking information typically contains statements with words such as "hope", "goal", "anticipate", "believe", "expect", "plan" or similar words suggesting future outcomes. These statements are based upon certain material factors or assumptions that were applied in drawing a conclusion or making a forecast or projection as reflected in the forward-looking statements, including AirIQ's perception of historical trends, current conditions and expected future developments as well as other factors management believes are appropriate in the circumstances. Such forward-looking statements are as of the date which such statement is made and are subject to a number of known and unknown risks, uncertainties and other factors, which could cause actual results or events to differ materially from future results expressed, anticipated or implied by such forward-looking statements. Such factors include, but are not limited to, changes in market and competition, technological and competitive developments and potential downturns in economic conditions generally. Therefore, actual outcomes may differ materially from those expressed in such forward-looking statements. Forward-looking statements are provided for the purpose of providing information about management's current expectations and plans relating to the future. Readers are cautioned that such information may not be appropriate for other purposes. Other than as may be required by law, AirIQ disclaims any intention or obligation to update or revise any such forward-looking statements, whether as a result of such information, future events or otherwise.

本新闻稿包含管理层基于最佳估计和当前运营环境所给出的前瞻性信息。这些前瞻性陈述涉及AirIQ的业务、预计的财务表现、业务前景和策略。前瞻性信息通常包含带有"希望"、"目标"、"预期"、"相信"、"期望"、"计划"或类似字眼的语句,暗示着未来的结果。这些陈述是基于某些具体的重要因素或假设进行的,这些因素或假设是涉及经营历史趋势、现有情况和预期未来发展以及管理层认为在这种情况下适当的其他因素中进行的。这些前瞻性陈述是从发表此声明之日起算的,并且需要承受一定已知和未知的风险、不确定性和其他因素的影响,这些风险、不确定性和其他因素可能会使实际结果或事件受到影响,这些结果或事件由此得出的预测、预期或暗示可能与实际结果不同。这些因素包括但不限于市场和竞争的变化、技术和竞争发展以及经济条件普遍下滑的可能性。因此,实际结果可能与此类前瞻性陈述中表述的结果不同。前瞻性陈述是为了提供有关管理层当前的期望和计划,以便与读者共享有关的信息。我们提醒读者,这些信息可能不适合其他目的。除法律规定外,AirIQ不承担任何意向或义务更新或修订任何此类前瞻性陈述,无论是因此类信息、未来事件或其他原因引起的。

* * *

* * *

For more information please contact:

欲了解更多信息请联系::

AirIQ Inc.,
Michael Robb, President and Chief Executive Officer,
(905) 831-6444
mrobb@airiq.com

AirIQ Inc.,
Michael Robb,总裁兼首席执行官,
(905) 831-6444
mrobb@airiq.com

Neither 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.

TSX创业公司交易所及其监管服务提供方(该术语定义在TSX创业公司政策中)不对此发布的充分性或准确性承担任何责任。

SOURCE: AirIQ, Inc.

来源:AirIQ,Inc。


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