Eddy Smart Home Solutions Ltd. Announces Q2/2024 Financial Results
Eddy Smart Home Solutions Ltd. Announces Q2/2024 Financial Results
Toronto, Ontario--(Newsfile Corp. - August 27, 2024) - Eddy Smart Home Solutions Ltd. (TSXV: EDY) ("Eddy" or the "Company") is pleased to announce its financial results for the three and six months ended June 30, 2024.
安大略省多伦多(新闻稿发布电视台 - 2024年8月27日) - Eddy智能家居解决方案有限公司(TSXV: EDY)("Eddy"或"公司")很高兴宣布其截至2024年6月30日的三个和六个月的财务业绩。
Q2 2024 Highlights
2024年第二季度要点
Message from our CEO
我们的首席执行官致辞
"This has been a pivotal quarter, as part of the private placement the credit facility of $1.1 million was converted into common shares and now with the repayment of the $5.6 million working capital facility, the balance sheet has been strengthened and our financial flexibility increased with over $785k in annual interest savings. With our cash flow from operations improving from ($611,523) in Q2 2023 to ($80,883) for Q2 2024 we are trending in the right direction and continue to add devices which translates to additional recurring revenue. We also have a significant back log of devices contracted but yet to be installed."
"这是一个关键的季度,作为定向增发的一部分,110万美元的信贷设施已转换为普通股,现在通过偿还560万美元的营运资金贷款,资产负债表得到了加强,我们的财务灵活度增加了超过78.5万美元的年利息节省。我们的运营现金流从2023年第二季度的(611,523)美元改善为2024年第二季度的(80,883)美元,我们正朝着正确的方向发展,并继续增加设备,这将转化为额外的经常性收入。我们还有大量的已签约但尚未安装的设备积压。"
Growth in In-Building Devices
楼内设备的增长
Eddy has increased the number of in-building devices by 60%, from 60,707 as of June 30, 2023, to 97,277 as of June 30, 2024. This significant growth is expected to drive additional revenue and underscores the increasing market acceptance of Eddy's technology and significant market traction.
Eddy在2023年6月30日的内部设备数量增加了60%,从60,707个增加到2024年6月30日的97,277个。这种显著增长预计将带来额外的收入,并凸显了Eddy科技在市场上的日益受认可和市场影响力的提高。
Enhanced Cash Flow
现金流增强
Cash flow used in operating activities improved by $530,640 to ($80,883) for Q2 2024, compared to ($611,523) in Q2 2023. For the six months ended June 30, 2024, cash used in operating activities improved by $1,672,269 to ($882,791) from ($2,555,060) in the comparable period in 2023. This is due to higher revenue, reduced expenses and improvements in working capital management.
截至2024年6月30日的第二季度,经营活动使用的现金流为(80,883)美元,比2023年第二季度的(611,523)美元改善了530,640美元。截至2024年6月30日的六个月,经营活动使用的现金流由2023年同期的(2,555,060)美元改善了1,672,269美元至(882,791)美元。这归因于收入增加,费用减少和营运资金管理的改善。
Reduced Expenses
减少开支
Eddy has significantly reduced its general and administrative (G&A) expenses from $1,904,324 in Q2 2023 to $1,291,504 in Q2 2024. For the six months ended June 30, 2024, G&A has been reduced from $3,850,611 during 2023 to $1,992,354 for the current period to date (an improvement of $1,858,257). These reductions highlight the company's commitment to operational efficiency and cost management.
Eddy公司从2023年第二季度的1,904,324美元减少到2024年第二季度的1,291,504美元。截至2024年6月30日,总管理费用(G&A)从2023年的3,850,611美元减少到本期至今的1,992,354美元(改善了1,858,257美元)。这些减少凸显了公司对运营效率和成本管理的承诺。
Closed Private Placement
定向增发关闭
On June 28, 2024, Eddy closed a non-brokered private placement previously announced by the Company in May 2024, through the issuance of 5,333,333 (at $1.50 per post-consolidation share) for gross proceeds of $8,000,000 (the "Offering").
2024年6月28日,Eddy通过发行5,333,333股(每股净合并后价格为1.50美元)融资8,000,000美元,完成了公司于2024年5月公告的定向增发(“本次增发”)。
Share consolidation
股份合并
Prior to completion of the Offering, the Company consolidated its common shares on the basis of one post-consolidation common share for every 100 pre-consolidation common shares.
在进行本次增发之前,公司按照1股合并后普通股折合100股合并前普通股的比例进行了股份合并。
Credit Facility Conversion and Working Capital Facility Repayment
信用额度转换和营运资金设施还款
The private placement included the conversion of the credit facility amounting to $1,163,880 into 775,920 common shares (at $1.50 per post consolidation share).
本次定向增发包括将信用额度转换为1,163,880美元的普通股(每股净合并后价格为1.50美元)。
Subsequent to period end, on July 15, 2024, the Company repaid the full amount owing under the working capital facility of $5,589,671, with the balance of the private placement proceeds to be used for general working capital purposes.
截至2024年7月15日,公司偿还了总额为5,589,671美元的营运资金设施下的全部金额,并将定向增发款项余额用于一般营运资金目的。
Chief Operating Officer Appointment
任命首席运营官
On August 8, 2024, the Company appointed Adam Bartman as the new Chief Operating Officer.
2024年8月8日,公司任命Adam Bartman担任新任首席运营官。
Mr. Bartman served as the Company's EVP of Operations has been instrumental in the Company's growth and innovation. With over a decade of experience in the plumbing and mechanical industry, Adam Bartman has a deep understanding of the challenges and opportunities in this sector. His leadership and vision have been pivotal in establishing Eddy Solutions as a leader in smart water management technology. As COO, Adam will oversee the company's day-to-day operations, focusing on enhancing operational efficiency, driving strategic initiatives, and fostering a culture of continuous improvement.
Bartman先生曾担任公司的运营执行副总裁,在公司的成长和创新中发挥了重要作用。Adam Bartman在管道和机械行业拥有超过十年的经验,对该行业的挑战和机遇有着深刻的理解。他的领导力和愿景在确立Eddy Solutions为智能水管理技术领导者方面起到了关键作用。作为首席运营官,Adam将监督公司的日常营运,专注于提高营运效率,推动战略举措,并倡导持续改进的文化。
Improved Financial Performance
财务业绩提升
Eddy has significantly reduced its net loss to ($1,313,214) for Q2 2024, a substantial improvement from the net loss of ($2,129,532) in Q2 2023. For the six months ended June 30, 2024, the net loss was ($1,786,033) compared to ($4,181,826) for the comparable period to date, which represents a significant improvement of $2,395,793.
Eddy Solutions在2024年第二季度将净亏损降至(1,313,214)美元,较2023年第二季度的净亏损(2,129,532)美元显著改善。截至2024年6月30日的六个月中,净亏损为(1,786,033)美元,相比之下,截至目前的可比期间为(4,181,826)美元,这代表了2,395,793美元的显著改善。
The year-to-date improvement reflects higher revenues, enhanced operational efficiencies, and reduced expenses. The average net loss per month was ($218,869), compared to ($696,971) for comparable period to date.
年初至今的改善反映了更高的营业收入、提高的营运效率和降低的费用。每月平均净亏损为(218,869)美元,相比之下,截至目前的可比期间为(696,971)美元。
Revenue
营业收入
For the three months ended June 30, 2024, revenue increased by $207,288 to $747,548 as compared to $540,260 reported for the comparable quarter.
截至2024年6月30日的三个月内,与可比季度报告的540,260美元相比,营业收入增加了207,288美元,达到了747,548美元。
For the six months ended June 30, 2024, revenue increased by $306,233 to $1,788,857 as compared to $1,482,624 reported for the comparable period in 2023 (an increase of 20%).
截至2024年6月30日的六个月内,与2023年同期报告的1,482,624美元相比,收入增加了306,233美元,达到了1,788,857美元(增长了20%)。
Recurring Billings
循环账单
Billings represent the amount billed to customers for monthly monitoring and equipment rentals.
账单代表了向客户收取的月度监控和设备租赁费用。
For the three months ended June 30, 2024, the recurring billings amounted to $687,757 (2023 - $555,509), an increase of $132,248 over the comparable quarter.
截至2024年6月30日的三个月内,循环账单金额为687,757美元(2023年-555,509美元),较可比季度增加了132,248美元。
For the six months ended June 30, 2024, the recurring billings amounted to $1,351,174 (2024 - $980,390), an increase of $370,784 over the comparable period in 2023 (an increase of 38%).
截至2024年6月30日的六个月内,循环账单金额为1,351,174美元(2024年-980,390美元),较可比期间增加了370,784美元(增长了38%)。
Basic and Diluted Loss Per Share
每股基本和摊薄亏损
Basic and diluted loss per share improved to ($1.47) in Q2 2024 from ($2.68) in Q2 2023.
每股基本和稀释损失在2024年第二季度由-2.68美元改善为-1.47美元。
Basic and diluted loss per share improved to ($2.11) for the six months ended June 30, 2024, from ($5.25) reported for the comparable period in 2023, this reflects the Company's progress towards financial stability.
截至2024年6月30日的六个月里,基本每股盈亏从2023年同期报告的($5.25)改善为($2.11),反映了公司在实现财务稳定方面取得的进展。
Prior period share amounts have been retrospectively adjusted to reflect the Share Consolidation, which became effective on June 28, 2024.
预往期份额已经以追溯方式调整,以反映股票整合,该整合于2024年6月28日生效。
About Eddy
关于Eddy
Eddy is a leading North American provider and developer of smart water metering products and monitoring services for residential and commercial properties. Eddy's solutions help property owners and developers protect, control, and conserve water usage through advanced sensing devices and behavioral learning software. For more information, visit .
Eddy是北美主要的智能水表产品和监测服务供应商和开发商,为住宅和商业物业提供服务。Eddy的解决方案通过先进的传感设备和行为学习软件帮助物业业主和开发商保护、控制和节约用水。更多信息,请访问。
For further details on the company's financial performance, please review our consolidated financial statements and management's discussion and analysis for the years ended December 31, 2023, and 2022, available on Eddy's SEDAR profile at .
如需了解公司的财务表现,请查看我们于2023年和2022年12月31日结束的年度基本报表和管理层讨论与分析,可在Eddy的SEDAR档案中获取。
Forward-Looking Statements
前瞻性声明
This news release contains forward-looking statements within the meaning of applicable securities laws. These statements reflect management's current expectations and are based on assumptions and estimates that involve risks and uncertainties. Actual results may differ materially from those anticipated in the forward-looking statements. Factors that could cause actual results to differ are discussed in the company's most recent management's discussion and analysis under "Risks And Uncertainties," available at . Eddy undertakes no obligation to update these statements, except as required by law.
本新闻发布涉及预测性声明,适用于适用的证券法规。这些声明反映管理层当前的期望,并基于涉及风险和不确定性的假设和估计。实际结果可能与预期的预测性声明不同。导致实际结果不同的因素在公司最近的管理层讨论与分析中讨论,该文件在“风险与不确定性”下可获得。Eddy无义务更新这些声明,除非法律要求。
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 tsx Venture交易所及其监管服务提供商(如TSX Venture交易所的政策中所定义的那样)不承担此发布的充分性或准确性的责任。
For further information, please contact:
如需更多信息,请联系:
Mark Silver
Executive Chairman and Chief Executive Officer
Tel: 416.221.8998
Email: ir@eddysolutions.com
马克·白银
执行主席兼首席执行官
电话:416.221.8998
电子邮件:ir@eddysolutions.com