Biotricity Reports Continued Margin Improvement and Reduced Losses in Its First Quarter Fiscal Year 2025
Biotricity Reports Continued Margin Improvement and Reduced Losses in Its First Quarter Fiscal Year 2025
The Company shows continued progress towards cash-flow break even and profitability
公司在实现现金流盈亏平衡和盈利能力方面取得了持续进展
Recurring Technology Fee (SaaS) revenue - over 94% of total revenue with a 76% gross margin, which rose over 400 basis points and is expected to continue to trend higher
Gross margins improved significantly to 73.8 from 63.5% in the same period last year, and 59.6% 2 years earlier
Reduced SG&A to $3 million, down 16% compared to same period last year
Operating loss of $1.1 million, indicated efficiency gains of $1.2 million from the preceding year quarter - a 51.8% improvement
Growth in revenue of 6% YOY to $3.2 million
EBITDA and Adjusted EBITDA improved by 18.9% and 49.8%, respectively, from the corresponding period in the prior year;
Quarter over preceding Quarter, EBITDA improved by $1M, or 36%, whereas Adjusted EBITDA improved by $1.5M or 59%.
Comprehensive loss was reported at $6.9 million, due to one-time non-cash items of $3.2 million; removing these would have resulted in a net loss of $3.7 million, consistent with prior year levels of $3.8 million due to interest rate increases that countered the impact of efficiency gains
重复技术费(云计算)收入占总收入的94%,毛利率为76%,比前一年提高了400个基点,并有望继续上升
毛利率从去年同期的63.5%提高到了73.8%,比两年前的59.6%有了显著改善
与上年同期相比,销售和管理费用减少了16%,降至300万美元
运营亏损110万美元,与去年同期相比,效率提高了120万美元,增长了51.8%
营收增长了6%,达到320万美元
EBITDA和调整后的EBITDA分别比去年同期提高了18.9%和49.8%
与前一季度相比,EBITDA增长了100万美元,增长了36%,而调整后的EBITDA增长了150万美元,增长了59%
由于一次性非现金项目达到了320万美元,导致综合亏损为690万元;如果排除这些项目,净亏损将为370万元,并与上年的380万元持平,这是由于利率上涨抵消了效率提升的影响。
REDWOOD CITY, CA / ACCESSWIRE / August 21, 2024 / Biotricity Inc. (OTCQB:BTCY) ("Biotricity" or the "Company"), a Technology-as-a-Service (TaaS) company operating in the remote cardiac monitor sector of consumer healthcare, today announced its financial results for the first quarter of fiscal 2025 year ended June 30, 2024.
加州雷德伍德城 / ACCESSWIRE / 2024年8月21日 / Biotricity Inc. (OTCQB: BTCY)(以下简称“Biotricity”或“公司”),一家主营消费者健康领域远程心脏监测领域的技术服务(TaaS)公司,今天公布了截至2024年6月30日的2025财年第一季度财务业绩。
Dr. Waqaas Al-Siddiq, Biotricity Founder & CEO, commented, "Our first quarter fiscal 2025 marked a strong start to the year. Despite the seasonally low summer months that can last into September, we saw impressive growth in our hospital sales pipeline, and future technology fees and device sales. We continued to achieve efficiencies from our prudent fiscal management aimed at bolstering our bottom line, and the effective use of our distribution channels. Given our consistently strong gross margins on technology fees of approximately 74% this quarter, and our growing recurring revenue, we anticipate continued improvement in overall blended gross margin over time. Our AI segment is also demonstrating accelerated progress. For the remainder of this calendar year, our focus remains increased sales of our remote cardiac monitoring devices and suite of products and ramp-up of our subscription-based service to continue on our clear path to profitability."
Biotricity创始人兼首席执行官沃卡斯·阿尔-西迪克博士评论道:“我们的2025财年第一季度是一个良好的开局。尽管夏季的销售通常较低,直至9月,但我们在医院销售渠道、未来技术费用和设备销售方面取得了令人瞩目的增长。我们继续通过谨慎的财务管理和有效利用分销渠道提高效率,推动底线增长。本季度我们的技术费用的毛利率约为74%,且我们的重复性收入持续增长,我们预计随着时间的推移,整体毛利率将继续改善。我们的AI业务也在加速进展。在今年剩下的时间里,我们的重点仍然是增加远程心脏监测设备和产品的销售,并加速我们基于订阅的服务以继续达到盈利能力的明确路径。”
"EBITDA and Adjusted EBITDA improved by $5.1 million and $5.7 million, or 38% and 46%, respectively when comparing the trailing 12 months to the corresponding prior year trailing 12 month period. This is significant when we consider the EBITDA and adjusted EBITDA measures for the three month period ended June 30, 2024, which improved by 18.9% and 49.8%, respectively. These are indicators of the Company's progress towards breakeven profitability as well as improvement towards operating cash-flow break-even.
与相应的前一年度相比,EBITDA和调整后的EBITDA分别提高了510万美元和570万美元,增幅分别达到了38%和46%。当考虑到截至2024年6月30日的三个月期间,EBITDA和调整后的EBITDA分别增长了18.9%和49.8%。这些是公司朝着盈利能力方面努力以及推动现金流盈余改善的指标。
Full details of the Company's financial results will be filed with the SEC on Form 10-Q and available by visiting www.sec.gov.
公司财务报告的完整细节将会以10-Q表格的形式提交给美国证券交易委员会,并可通过访问www.sec.gov进行查看。
About Biotricity Inc.
关于Biotricity Inc.。
Biotricity is reforming the healthcare market by bridging the gap in remote monitoring and chronic care management. Doctors and patients trust Biotricity's unparalleled standard for preventive & personal care, including diagnostic and post-diagnostic solutions for chronic conditions. The Company develops comprehensive remote health monitoring solutions for the medical and consumer markets. To learn more, visit .
Biotricity正在通过弥补远程监测和慢性病管理领域的差距来改革医疗保健市场。医生和患者信任Biotricity在预防和个人护理方面的无与伦比的标准,包括慢性病的诊断和发帖解决方案。公司为医疗和消费市场开发全面的远程健康监测解决方案。要了解更多信息,请访问。
Important Cautions Regarding Forward-Looking Statements
关于前瞻性声明的重要注意事项
Any statements contained in this press release that do not describe historical facts may constitute forward-looking statements. Forward-looking statements, which involve assumptions and describe our future plans, strategies, and expectations, are generally identifiable by use of the words "may," "should," "would," "will," "could," "scheduled," "expect," "anticipate," "estimate," "believe," "intend," "seek," "project," or "goal" or the negative of these words or other variations on these words or comparable terminology. Forward-looking statements may include, without limitation, statements regarding (i) the plans, objectives and goals of management for future operations, including plans, objectives or goals relating to the design, development and commercialization of Bioflux or any of the Company's other proposed products or services, (ii) a projection of income (including income/loss), earnings (including earnings/loss) per share, capital expenditures, dividends, capital structure or other financial items, (iii) the Company's future financial performance, (iv) the regulatory regime in which the Company operates or intends to operate and (v) the assumptions underlying or relating to any statement described in points (i), (ii), (iii) or (iv) above. Such forward-looking statements are not meant to predict or guarantee actual results, performance, events or circumstances and may not be realized because they are based upon the Company's current projections, plans, objectives, beliefs, expectations, estimates and assumptions and are subject to a number of risks and uncertainties and other influences, many of which the Company has no control over. Actual results and the timing of certain events and circumstances may differ materially from those described by the forward-looking statements as a result of these risks and uncertainties. Factors that may influence or contribute to the inaccuracy of the forward-looking statements or cause actual results to differ materially from expected or desired results may include, without limitation, the Company's inability to obtain additional financing, the significant length of time and resources associated with the development of its products and related insufficient cash flows and resulting illiquidity, the Company's inability to expand the Company's business, significant government regulation of medical devices and the healthcare industry, lack of product diversification, existing or increased competition, results of arbitration and litigation, stock volatility and illiquidity, and the Company's failure to implement the Company's business plans or strategies. These and other factors are identified and described in more detail in the Company's filings with the SEC. There cannot be any assurance that the Company will ever become profitable. The Company assumes no obligation to update any forward-looking statements in order to reflect any event or circumstance that may arise after the date of this release.
本新闻稿中包含的任何不描述历史事实的声明均可能构成前瞻性声明。前瞻性声明涉及假定并描述我们的未来计划、策略和期望,通常可以通过使用诸如"可能"、"应该"、"将"、"可能"、"将"、"预定"、"期望"、"预计"、"估计"、"相信"、"打算"、"寻求"、"项目"或这些词的否定形式"目标"或这些词或可比的术语上的其他变体来识别。前瞻性声明可能包括(i)管理层为未来的运营设计、开发和商业化Bioflux或公司其他拟议的产品或服务制定的计划、目标和目标,(ii)所得收入(包括收入/损失)、每股收益(包括收益/损失)、资本支出、股利、资本结构或其他财务项目的预测,(iii)公司未来的财务表现,(iv)公司操作或拟运营的监管制度和(v)在点(i)、(ii)、(iii)或(iv)中描述的任何声明的基础或关系。这些前瞻性声明不意味着预测或保证实际结果、表现、事件或情况,并且可能无法实现,因为它们基于公司当前的投射、计划、目标、信念、期望、估计和假设,并且受到许多风险和不确定性和其他影响的影响,其中许多超出公司的控制范围。由于这些风险和不确定性,实际结果和某些事件和情况的时间可能会有所不同,这些风险和不确定性可能影响或有助于不准确的前瞻性声明,或导致实际结果与预期或期望结果有所不同。可能会影响或促使前瞻性声明的不准确性、或导致实际结果与期望或期望结果有所不同的因素包括但不限于以下因素:公司无法获得额外的融资;开发其产品相关的时间和资源相当长而且资金短缺,因此产生的现金流不足,这种不足由此导致公司的其他开支不足以支持公司正在进行的业务;公司无法扩展业务;存在或增加的医疗设备和医疗保健行业的重大政府监管,缺乏产品多样性,现有或增加的竞争,仲裁和诉讼的结果,股票的波动和流动性,以及公司未能执行公司的商业计划或策略。这些和其他因素在公司的对SEC的申报中被确认并描述。公司不能保证公司将永远盈利。公司假定不需要举行任何责任来更新任何前瞻性声明,以反映在本发布日期之后可能出现的任何事件或情况。
Contacts
联系方式
Investor Relations
投资者关系
Biotricity Investor Relations
Investors@biotricity.com
Biotricity投资者关系
Investors@biotricity.com
SOURCE: Biotricity, Inc.
来源:Biotricity,Inc。