Tantalus Systems Holding Inc. Reports Financial Results for Q2 and First Half of 2024
Tantalus Systems Holding Inc. Reports Financial Results for Q2 and First Half of 2024
Burnaby, British Columbia--(Newsfile Corp. - August 6, 2024) - Tantalus Systems (TSX: GRID) ("Tantalus" or the "Company"), a technology company dedicated to helping utilities modernize their distribution grids by harnessing the power of data, is pleased to announce its financial and operating results for the quarter and six months ended June 30, 2024.
位于不列颠哥伦比亚省本纳比市——(新闻稿公司——2024年8月6日)—— Tantalus Systems (TSX: GRID)(“Tantalus”或“公司”)是一家致力于帮助公用事业现代化其分配电网以利用数据的科技公司,现很高兴地宣布其2024年6月30日季度和六个月的财务和运营成果。
Financial & Operating Highlights for Q2 20241:
20241年Q2财务和运营亮点:
- Sales Orders: The Company converted $32.9 million (CND$44.7 million) of orders from its sales pipeline during the first six months of 2024. This dollar amount sets a new corporate record for orders converted within the first six months of a calendar year and represents more than 46% growth over the prior year period. The Company added fourteen new utilities through the first six months of the year, bringing its user community to 302 utilities.
- 销售订单:公司在2024年头六个月从销售渠道获得了3290万美元(加拿大4470万元)的订单。此金额为公司创下的头六个月转化订单的新纪录,比去年同期增长了46%以上。公司在今年头六个月内新增了14个公用事业公司,使其用户社区达到了302家。
- Revenue: The Company generated revenue of $10.7 million (CND$14.6 million), representing a 4% decrease over the same period in 2023. The decline is tied to the timing of converting orders from the Company's pipeline, which can vary throughout the course of a calendar year, and capacity allocations with meter partners. Revenue contributions of $3.8 million from the Utility Software Applications and Services segment represented 35% of total revenue in the quarter.
- 营业收入:公司的营业收入为1070万美元(加拿大1460万美元),与2023年同期相比下降了4%。这种下降与从公司渠道转化订单的时间有关,这可能会在一年内的不同时间段发生变化,以及与电表合作伙伴的容量分配有关。公用事业软件应用和服务部门的380万美元的收入占该季度总收入的35%。
- Annual Recurring Revenue (ARR)2: ARR stands at approximately $12.0 million (CND$16.4 million) as of June 30, 2024, representing approximately 14% growth over the prior year period. Recurring Revenue recognized during the three months ended June 30, 2024 was $2.6 million (CND$3.6 million), representing approximately 24% of total revenue for the quarter.
- 截至2024年4月30日,年度重复收入(ARR)同比增长33%,达到了36.5亿美元,其中本季度新增净ARR为2.11亿美元。2:截至2024年6月30日,ARR约为1200万美元(加拿大1640万美元),比去年同期增长约14%。在2024年6月30日结束的三个月中,确认的经常性收入为260万美元(加拿大360万美元),占当季销售收入总额的约24%。
- Gross Profit Margin2: The Company continued to deliver strong Gross Profit Margin of 55% in Q2 2024, continuing its trend of exceeding 50% for this financial measure.
- 毛利率2:公司在2024年Q2继续保持较高的55%毛利润率,延续其超过50%的财务指标趋势。
- Adjusted EBITDA2: The Company generated Adjusted EBITDA of negative $0.2 million (negative CND$0.3 million) in Q2 2024 compared to Adjusted EBITDA of $0.3 million (CND$0.4 million) for the prior year period. The Adjusted EBITDA result included approximately $1.5 million (approximately CND$2.0 million) of additional investment to commercialize the TRUSense Gateway product offerings.
- 调整后的EBITDA2:公司在2024年Q2创造了负200,000美元(负400,000加元)的调整后EBITDA,而去年同期的调整后EBITDA为30万美元(加拿大40万元)。调整后EBITDA的结果包括约150万美元(约合加拿大200万美元)的额外投资以商业化TRUSense网关产品系列。
- Balance Sheet: The Company ended Q2 2024 with $11.4 million in cash (CND$15.6 million) which increased from $5.2 million (CDN$6.8 million) as at December 31, 2023. The cash position for the Company was bolstered by a bought deal financing that was completed in May 2024.
- 资产负债表::公司于2024年第二季度末现金余额为1140万美元(加拿大1560万美元),而截至2023年12月31日的现金余额为520万美元(加拿大680万美元)。公司的现金状况得到了5月份获得的一项交易融资的支持。
- TRUSense Gateway: The Company announced Underwriters Laboratories ("UL") certification for the TRUSense Fiber Gateway (April 22, 2024) and the TRUSense Ethernet Gateway (July 22, 2024) and continues to work towards the final certification processes for the cellular version of the TRUSense Gateway product line. Additionally, the Company has secured orders from fifteen utilities to commence field trials, pilots and deployments of the TRUSense Gateway as of August 6, 2024.
- TRUSense网关产品:公司宣布获得了TRUSense Fiber网关(2024年4月22日)和TRUSense以太网网关(2024年7月22日)的Underwriters Laboratories(“UL”)认证,并继续努力完成TRUSense网关产品系列的最终认证流程。此外,截至2024年8月6日,公司已经为15个公用事业公司获得了启动TRUSense网关的实地试验、试点和部署的订单。
"We continue to build momentum for Tantalus and were pleased to announce the bought deal financing during the quarter as well as setting a new milestone for orders converted from our pipeline during the first half of the year," said Peter Londa, President & CEO of Tantalus Systems. "We believe the 46% growth in orders ties to the progress we are making with the TRUSense Gateway, which underpins the Tantalus Grid Modernization Platform. While we are mindful of the slight decline in revenue on a year-over-year basis, securing initial orders from 15 utilities for the TRUSense Gateway is a good indication of the growth opportunity that our team is pursuing."
Tantalus Systems总裁兼首席执行官Peter Londa表示:“我们继续为Tantalus积累动力,并很高兴在季度内宣布交易融资以及创造了订单转化的新里程碑。'我们相信订单的46%增长与我们在TRUSense网关内取得的进展有关,这是Tantalus Grid Modernization平台的支柱。虽然我们注意到了营收同比略有下降的情况,但获得15个公用事业公司的TRUSense网关初始订单是我们团队追求增长机会的良好指标。'
The Company will hold a conference call and webcast to discuss the financial results on Wednesday, August 7, 2024, at 11:00 am Eastern Time.
公司将于2024年8月7日星期三上午11:00(东部时间)举行电话会议和网络直播,讨论财务结果。
Conference Call
电话会议
Participant Dial In (Toll Free): 1-844-854-4410
Participant International Dial In: 1-412-317-5791
Participants, please ask to be joined to the Tantalus Systems call.
参加电话会议免费电话:1-844-854-4410
参加电话会议国际电话:1-412-317-5791
参与者请要求加入Tantalus Systems电话会议。
Webcast
网络转播
Webcast URL:
网络直播链接:
Replay Information
重播信息
A conference call and webcast replay will be available until August 14, 2024. To access the conference call replay, please see details below:
电话会议和网络收播重播将于2024年8月14日之前可用。若要访问电话会议重播,请参阅以下详细信息:
US Toll Free: 1-877-344-7529
International Toll: 1-412-317-0088
Canada Toll Free: 1-855-669-9658
Replay Access Code: 8131814
美国免费电话: 1-877-344-7529
国际收费电话: 1-412-317-0088
加拿大免费电话:1-855-669-9658
回放访问代码:8131814
Financial Statements and Management Discussion & Analysis
财务报表和管理层讨论与分析MD&A
Please see the Company's consolidated financial statements ("Financial Statements") and related Management's Discussion & Analysis ("MD&A") for more details. The Financial Statements for the three and six months ended June 30, 2024, and related MD&A have been reviewed and approved by Tantalus' Audit Committee and Board of Directors. For a more detailed explanation and analysis, please refer to the MD&A that has been filed on SEDAR+ at and is also available on the Company's website at .
有关更多详细信息,请参阅公司的综合财务报表(“财务报表”)和相关的管理层讨论及分析(“MD&A”)。2024年6月30日三个月和六个月的财务报表以及相关的MD&A已得到Tantalus审计委员会和董事会的审查和批准。为获得更详细的解释和分析,请参阅已在SEDAR+上注册的MD&A,也可在公司的网站上获得。
Non-IFRS and Other Financial Measures
非IFRS和其他财务指标
This press release refers to the following non-IFRS measures:
本新闻稿提及了以下非IFRS指标:
"Adjusted EBITDA" is comprised as income (loss) less interest, income tax and depreciation and amortization. Management believes that EBITDA is a useful indicator for investors, and is used by management, in evaluating the operating performance of the Company. "Adjusted EBITDA" is comprised as income (loss) less interest, income tax, depreciation, amortization, stock-based compensation, foreign exchange gain (loss) and other income / expenses not attributable to the operations of the Company. Management believes that Adjusted EBITDA is a useful indicator for investors, and is used by management, in evaluating the operating performance of the Company. See "Reconciliation of Net (Loss) / Income to Adjusted EBITDA" for a quantitative reconciliation of Adjusted EBITDA to the most directly comparable financial measure.
“调整后的税息折旧及摊销前利润”由净收入(亏损)减去利息、所得税和折旧及摊销计算而成。管理层认为EBITDA是投资者的有用指标,也是管理层评估公司运营绩效的指标。调整后的税息折旧及摊销前利润由净收入(亏损)扣除利息、所得税、折旧、摊销、股票报酬、汇率损益和其他与公司业务无关的收入/费用计算而成。管理层认为调整后的税息折旧及摊销前利润是投资者的有用指标,也是管理层评估公司运营绩效的指标。请参阅“净(亏损)收入与调整后的税息折旧及摊销前利润的调和表”,以获得调整后的税息折旧及摊销前利润与最直接可比财务指标之间的数量调和。
"Gross Profit" is comprised as the Company's revenues less cost of sales. Management believes that Gross Profit is a useful indicator for investors, and is used by management, in evaluating the operating performance of the Company. See "Gross Profit Reconciliation" for a quantitative reconciliation of Gross Profit to the most directly comparable financial measure. This press release refers to "Gross Profit Margin" which is a non-IFRS ratio. Gross Profit Margin is comprised of Gross Profit expressed as a percentage of the Company's revenues. Management believes that Gross Profit Margin is a useful indicator for investors, and is used by management, in evaluating the operating performance of the Company.
“毛利润”由公司营收减去销售成本计算而成。管理层认为毛利润是投资者的有用指标,也是管理层评估公司运营绩效的指标。请参见“毛利润调和表”,以获得毛利润与最直接可比财务指标之间的数量调和。本新闻稿提及的“毛利率”是一个非 IFRS 比率。毛利率由毛利润除以公司营收的百分比表示。管理层认为毛利率是投资者的有用指标,也是管理层评估公司运营绩效的指标。
"Adjusted Working Capital" is comprised as current assets less current liabilities exclusive of the Company's loans. Management believes Adjusted Working Capital is a useful indicator for investors, and is used by management, for evaluating the operating liquidity to the Company. See "Adjusted Working Capital Reconciliation" for a quantitative reconciliation of Adjusted Working Capital to the most directly comparable financial measure.
“调整后的营运资本”由当前资产减去当前负债,不包括公司的贷款计算而成。管理层认为,调整后的营运资本是投资者的有用指标,也是管理层评估公司流动性的指标。请参见“调整后的营运资本调和表”,以获得调整后的营运资本与最直接可比财务指标之间的数量调和。
"Recurring Revenue" is comprised of the Company's revenues that are recurring in nature and attributable to its analytics and other software as a service ("SaaS") offering, hosting services and software maintenance and technical support agreement services. "Annual Recurring Revenue" or "ARR" is comprised of the Company's Recurring Revenue as expressed on an annualized revenue basis attributable to its customer agreements at a point in time.
“循环营收”是指公司的收入,这些收入是与其分析和其他软件即服务(“SaaS”),托管服务以及软件维护和技术支持协议服务有关的,具有重复性的性质。“年度循环营收”或“ARR”是指公司在某一时点按年化营收基础计算的循环营收。
Such non-IFRS measures and non-IFRS ratio do not have a standardized meaning under IFRS and may not be comparable to a similar measure disclosed by other issuers.
这些非 IFRS 指标和非 IFRS 比率在 IFRS 下没有标准化的含义,并且可能无法与其他发行人披露的类似指标进行比较。
Gross Profit Margin Reconciliation
毛利率调和表
Reconciliation of Net (Loss)/Income to Adjusted EBITDA
净(亏损)收入与调整后的税息折旧及摊销前利润的调和表
Adjusted Working Capital Reconciliation
调整后的营运资本调和表
About Tantalus Systems Holding Inc. (TSX: GRID)
Tantalus是一家科技公司,旨在通过在周围的配电网中利用其所有的设备和系统所提供的数据,帮助公用事业现代化其配电网。 我们提供一种跨多级的网格现代化平台:智能连接设备,通信网络,数据管理,企业应用和分析。 我们的解决方案为公用事业提供了所需的灵活性,从而能够从现有基础设施投资中获得最大价值,并利用先进的功能规划未来的需求。 了解更多请访问。
Tantalus is a technology company dedicated to helping utilities modernize their distribution grids by harnessing the power of data across all their devices and systems deployed throughout the entire distribution grid. We offer a grid modernization platform across multiple levels: intelligent connected devices, communications networks, data management, enterprise applications and analytics. Our solutions provide utilities with the flexibility they need to get the most value from existing infrastructure investments while leveraging advanced capabilities to plan for future requirements. Learn more at .
本新闻稿包含的信息,陈述,信仰和意见是前瞻性的,并反映了关于未来事件的当前估计,期望和预测, 包括但不限于水电公司当前和未来可能面临的问题,如网格现代化和DER的影响,这些问题的优先级,Tantalus的解决方案(包括Tantalus网格现代化平台和TRUSense网关)能否协助客户解决这些问题(例如提高复原能力和管理DER),以及其他说法,这些说法包含"相信","期望","项目","应该","寻求","预计", "将","打算","定位","风险","计划","可能","估计" 或各种意义上的否定和相似含义的单词。前瞻性信息的性质涉及许多风险,不确定性和假设,这些风险,不确定性和假设可能会导致实际结果或事件与前瞻性信息所表达的结果或事件有所不同。这些风险,不确定性和假设可能会对此处所述的计划和事件的结果产生不利影响。读者不应过分依赖前瞻性信息,该信息基于本新闻发布日期可获得的信息,Tantalus不承担任何更新或修订本新闻发布中包含的任何前瞻性信息的意图或义务,除非适用法律要求。本新闻发布中所包含的前瞻性信息在其整体上受到此警告声明的明确限制。
Forward-Looking Statements:
前瞻性声明:
This news release contains "forward-looking information" within the meaning of applicable securities laws. Forward-looking information is generally identifiable by use of the words "believes", "may", "plans", "will", "anticipates", "intends", "could", "estimates", "expects", "forecasts", "projects" and similar expressions, and the negative of such expressions. Forward-looking information in this news release includes statements such as those relating to increasing demand for the Company's solutions in support of utilities' grid modernization efforts, the commercialization and adoption of the TRUSense Gateway, the trajectory of the Company's business (including as related to the opportunity represented by the TRUSense Gateway product offering), and the ability to execute the Company's plan.
本新闻稿包含适用证券法规的“前瞻性信息”。本新闻稿中的前瞻性信息通常可识别,其使用包括“相信”、“可能”、“计划”、“将”、“预计”、“预测”、“以及类似的表达方式,以及负面表达。本新闻稿中的前瞻性信息包括与支持公用事业电网现代化工作的公司解决方案的需求增长、TRUSense 网关的商业化和采用、公司业务的轨迹(包括 TRUSense 网关产品提供的机会)以及执行公司计划的能力有关的声明。
To the extent any forward-looking information in this news release constitutes a "financial outlook" within the meaning of securities laws, such information is being provided because management's estimate of the future financial performance of Tantalus is useful to investors, and readers are cautioned that this information may not be appropriate for any other purpose and that they should not place undue reliance on such information.
在本新闻稿中,如果任何前瞻性信息构成证券法规下的“财务前景”,则提供此类信息是因为 Tantalus对 Tantalus 未来的财务表现的估计对投资者有用,读者应注意此信息可能不适用于任何其他目的,并且不应过度依赖此信息。
In connection with the forward-looking information contained in this news release, Tantalus has made numerous assumptions, regarding, among other things: the expected impact of supply chain constraints, the expected impact of inflationary pressures on costs and the expected timing of new product introductions, and the ongoing R&D investments and commercialization of the TRUSense Gateway. While Tantalus considers these assumptions to be reasonable, these assumptions are inherently subject to significant uncertainties and contingencies. Additionally, there are known and unknown risk factors which could cause Tantalus' actual results, performance or achievements to be materially different from any future results, performance or achievements expressed or implied by the forward-looking information contained herein. A complete discussion of the risks and uncertainties facing Tantalus is disclosed under the heading "Risk Factors" in Tantalus' Annual Information Form dated March 31, 2024, as well as those risk factors included with Tantalus' continuous disclosure filings with Canadian securities regulatory authorities available at . All forward-looking information herein is qualified in its entirety by this cautionary statement, and Tantalus disclaims any obligation to revise or update any such forward-looking information or to publicly announce the result of any revisions to any of the forward-looking information contained herein to reflect future results, events or developments, except as required by law.
有关本新闻稿中包含的前瞻性信息,Tantalus已经做出了大量假设,其中包括:预期供应链限制的影响、通胀对成本的影响以及新产品推出的预期时间,以及 TRUSense 网关的研发投资和商业化。尽管 Tantalus 认为这些假设是合理的,但这些假设本质上面临着重大的不确定性和不可抗力的情况。此外,已知和未知的风险因素可能会导致 Tantalus 的实际结果、业绩或成就与任何在此处明示或暗示的未来结果、业绩或成就有实质性的不同。完整的 Tantalus 面临的风险和不确定性讨论在于 Tantalus 2024 年 3 月 31 日提交的《年度信息表》,以及在 Tantalus 的加拿大证券监管机构的连续披露文件中包含的风险因素中披露。此处的所有前瞻性信息均在其整体上通过此警示性声明得到限制,Tantalus不承担修订或更新任何此类前瞻性信息或公开宣布所述任何此类前瞻性信息的结果的义务,以反映未来的结果、事件或发展,除非法律要求。
Contact Tantalus:
Deborah Honig
Investor Relations
647-203-8793 | deborah@adcap.ca
联系Tantalus:
黛博拉•霍尼格
投资者关系
647-203-8793 | deborah@adcap.ca
Website:
LinkedIn: LinkedIn/company/tantalus
X (formerly Twitter): @TantalusCorp
网站:
领英:LinkedIn/company/tantalus
X(前身为 Twitter):@TantalusCorp
________________________
________________________
1 Financial information is reported in United States dollars ("$") unless otherwise stated and in accordance with International Financial Reporting Standards ("IFRS"). Where balances are also expressed in Canadian dollars ("CND$") in this news release, an average foreign exchange rate of 0.7308 and 0.7361 for the three and six months ended June 30, 2024 (0.7447 and 0.7421 for the three and six months ended June 30, 2023) for income statement items and a foreign exchange rate of 0.7306 as at June 30, 2024 (0.7553 as at June 30, 2023 and 0.7561 as at December 31, 2023) for balance sheet items has been applied. Certain dollar amounts in this news release have been rounded to the nearest millions or thousands of dollars.
1 除非另有说明,本财务信息以美元(“$”)报告,并按照国际财务报告准则(“IFRS”)报告。本新闻稿中加元(“CND$”)的余额,运用了以下外汇平均汇率:2024年6月30日三个月和六个月末接近 0.7308 和 0.7361(2019年6月30日三个月和六个月末接近 0.7447和0.7421)的收入项目和加权平均汇率为2024年6月30日接近 0.7306 (2019年6月30日为 0.7553,2019 年 12 月 31 日为 0.7561)的资产负债表项目。本新闻稿中的某些金额以最接近百万或千元的人民币报告。
2 See "Non-IFRS and Other Financial Measures."
2 请参见 “非 IFRS 指标和其他财务指标”。