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Brenmiller Energy H1 EPS $(0.45) Up From $(3.02) YoY

Brenmiller Energy H1 EPS $(0.45) Up From $(3.02) YoY

Brenmiller 能源上半年每股收益 $(0.45),较去年同期每股收益 $(3.02) 上升
Benzinga ·  08/29 16:25

Summary of Financial Results

财务业绩摘要

  • Balance Sheet: As of June 30, 2024, Brenmiller had cash and cash equivalents and restricted deposits of $6.99 million, a net increase of $3.78 million from $3.21 million on December 31, 2023. This is attributable primarily to fundraising during the six months ended June 30, 2024 of approximately $7.97 million in net proceeds from the issuance of ordinary shares, pre-funded warrants and warrants. Total assets increased by 31% as of June 30, 2024, to $13.92 million, primarily due to a $3.78 million increase in cash and cash equivalents following the equity financings completed during the period. Total liabilities decreased by 4% to $7.39 million, primarily driven by a $324,000 reduction in operating lease liabilities. Shareholders' equity increased by 127% to $6.54 million, largely due to the equity financings completed during the period.
  • Income Statement: Operating loss narrowed for the six months ended June 30, 2024, to $5.38 million, compared to $5.42 million for the same period in 2023. Net loss narrowed by 70% to $1.58 million, down from $5.33 million in the prior year period, primarily driven by a $3.72 million increase in financial income, mainly resulting from a fair value adjustment of warrants.
  • Cash Flow Statement: Net cash used in operating activities for the six months ended June 30, 2024 was $3.86 million, which primarily reflects a net loss of $1.58 million and a non-cash adjustment of $2.46 million. The net increase in cash and cash equivalents and restricted deposits for the six months ended June 30, 2024 was $3.86 million compared to $366,000 in the prior year period.
  • 资产负债表:截至2024年6月30日,Brenmiller的现金及现金等价物和受限存款为699万美元,较2023年12月31日的321万美元增加了378万美元。这主要归因于2024年6月30日结束的六个月内,通过发行普通股、预先垫付权证和权证筹集的净收益约为797万美元。截至2024年6月30日,总资产增加了31%,达到1392万美元,主要是由于该期间的股权融资完成后现金及现金等价物的增加378万美元。总负债下降了4%,达到739万美元,主要是由于经营租赁负债减少了32.4万美元。股东权益增长了127%,达到654万美元,主要是由于该期间的股权融资的完成。
  • 损益表:截至2024年6月30日的六个月内,营业亏损减少至538万美元,而2023年同期为542万美元。净亏损减少了70%,降至158万美元,而去年同期为533万美元,主要是由于财务收入增加了372万美元,主要是由于权证的公允价值调整所致。
  • 现金流量表:截至2024年6月30日的六个月内,经营活动使用的净现金为386万美元,这主要反映了净亏损为158万美元和非现金调整为246万美元。截至2024年6月30日,现金及现金等价物和受限存款的净增长为386万美元,而去年同期为36.6万美元。
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