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Consolidated Water Co. Ltd. Reports 33% Revenue Decline in Third Quarter 2024 Amid Project Transitions

Consolidated Water Co. Ltd. Reports 33% Revenue Decline in Third Quarter 2024 Amid Project Transitions

consolidated water有限公司报告,2024年第三季度营业收入下降33%,因项目转型。
Quiver Quantitative ·  11/14 16:51

Consolidated Water Co. reported a 33% revenue decline in Q3 2024 amid project completions, with ongoing growth in retail water sales.

Consolidated Water Co.报告称,2024年第三季度由于项目竣工,营业收入下降33%,零售供水业务持续增长。

Quiver AI Summary

Quiver AI 概要

Consolidated Water Co. Ltd., based in the Cayman Islands, reported a 33% decline in total revenue to $33.4 million for the third quarter of 2024, primarily due to the completion of two major construction projects earlier in the year. The company saw retail and bulk revenue increases of 5% and 3%, respectively, while services revenue plummeted by 57% owing to decreased construction activity. Net income from continuing operations was $5.0 million, down from last year's $8.8 million. Despite the revenue drop, the retail water sales grew by 4.2%, benefiting from an increase in customer connections. The company continues to advance its $147 million desalination project in Hawaii and highlights ongoing positive trends in both retail water sales and its manufacturing segment as it seeks to capitalize on the demand for water treatment solutions amidst growing water scarcity issues.

总部位于开曼群岛的Consolidated Water Co. Ltd.报告称,2024年第三季度总收入下降33%,至3340万美元,主要是由于年初两个重要施工项目的完成。公司零售和批发收入分别增长5%和3%,而服务收入由于施工活动减少而暴跌57%。持续营运的净收入为500万美元,低于去年的880万美元。尽管收入下降,零售供水业务增长了4.2%,受益于客户连接数量的增加。该公司继续推进其在夏威夷的14700万美元海水淡化项目,强调在零售供水业务和制造业板块中持续积极的趋势,以满足日益增长的水资源短缺问题需求。

Potential Positives

潜在的积极因素

  • Retail revenue increased 5% to $7.6 million, reflecting higher sales volumes and a 4.8% growth in customer connections.
  • The company's cash and cash equivalents totaled $104.9 million, indicating a strong liquidity position.
  • Operations and maintenance revenue grew by 49% to $7.5 million, driven by contributions from the newly acquired REC subsidiary.
  • Continued progress on the $147 million desalination plant project in Hawaii, expected to significantly enhance future revenue and earnings.
  • 零售收入增长5%,达到760万美元,反映出销售量增加和客户连接增长4.8%。
  • 公司的现金及现金等价物总额为10490万美元,显示出强劲的流动性财务状况。
  • 运营和保养收入增长49%,达到750万美元,主要由于新收购的REC子公司的贡献。
  • 在夏威夷的14700万美元海水淡化厂项目上持续取得进展,预计将显著增加未来的收入和利润。

Potential Negatives

潜在负面影响

  • Total revenue declined 33% year-over-year, indicating a significant drop in business performance.
  • Net income from continuing operations decreased 43% compared to the same quarter last year, suggesting reduced profitability.
  • Services revenue declined 57%, a major impact stemming from reduced construction revenue, highlighting vulnerabilities in a core business segment.
  • 营业收入总额同比下降33%,表明业务绩效大幅下滑。
  • 持续经营活动的净利润同比下降43%,相较去年同期,盈利能力减少。
  • 服务收入减少了57%,主要受到减少施工收入的重大影响,凸显核心业务领域的脆弱性。

FAQ

FAQ

What were Consolidated Water's third quarter 2024 financial results?

请问 Consolidated Water 的 2024 年第三季度财务业绩如何?

Consolidated Water reported a 33% decline in total revenue to $33.4 million, net income from continuing operations of $5.0 million.

Consolidated Water 报告总营收下降33%,至 3340万元,持续经营活动的净利润为 500万元。

How did retail water sales perform in the third quarter?

零售水销售在第三季度的表现如何?

Retail revenue increased by 5% to $7.6 million, driven by a 4.2% rise in volume sold in Grand Cayman.

零售营业收入增长5%,达到760万美元,主要受开曼群岛销量增长4.2%的推动。

What is the status of the Hawaiian desalination plant project?

夏威夷淡水化工厂项目目前的进展如何?

The $147 million desalination project in Hawaii is progressing through design and permitting towards the construction phase anticipated to start late next year.

夏威夷的14700万美元淡水化工程项目正在经过设计和许可阶段,预计将于明年年底开始进入施工阶段。

When is the conference call to discuss the quarterly results?

讨论季度业绩的电话会议是什么时候?

The conference call will take place on November 15, 2024, at 11:00 a.m. Eastern time.

电话会议将于2024年11月15日上午11:00在东部时间举行。

What factors are contributing to Consolidated Water's long-term growth?

什么因素促成了Consolidated Water的长期增长?

Key factors include growing water scarcity, increasing retail sales, and new O&M contracts contributing to stable recurring revenue.

关键因素包括水资源短缺加剧,零售销售增长以及新的营运合同有助于稳定的经常性收入。

Disclaimer: This is an AI-generated summary of a press release distributed by GlobeNewswire. The model used to summarize this release may make mistakes. See the full release here.

免责声明:这是由GlobeNewswire分发的新闻稿的人工智能生成摘要。用于总结这份稿件的模型可能会出错。请在这里查看完整发布。


$CWCO Insider Trading Activity

consolidated water内部交易活动

$CWCO insiders have traded $CWCO stock on the open market 2 times in the past 6 months. Of those trades, 0 have been purchases and 2 have been sales.

consolidated water内部人员在过去6个月中以市场价交易consolidated water股票2次。其中0次为购买,2次为出售。

Here's a breakdown of recent trading of $CWCO stock by insiders over the last 6 months:

以下是过去6个月consolidated water股票内部人员交易的最新情况:

  • RAYMOND WHITTAKER sold 2,949 shares.
  • CLARENCE B. FLOWERS sold 2,700 shares.
  • RAYMOND WHITTAKER卖出2,949股。
  • CLARENCE b. FLOWERS卖出2,700股。

To track insider transactions, check out Quiver Quantitative's insider trading dashboard.

要跟踪内部交易,请查看Quiver Quantitative的内部交易特斯拉-仪表。

$CWCO Hedge Fund Activity

consolidated water基金活动

We have seen 66 institutional investors add shares of $CWCO stock to their portfolio, and 64 decrease their positions in their most recent quarter.

我们看到有66家机构投资者在他们最近的季度将consolidated water股票加入他们的投资组合,64家减少了他们的持仓。

Here are some of the largest recent moves:

以下是一些最近最大的交易动态:

  • MILLENNIUM MANAGEMENT LLC removed 234,959 shares (-96.2%) from their portfolio in Q2 2024
  • JPMORGAN CHASE & CO added 105,711 shares (+54.7%) to their portfolio in Q3 2024
  • INVESCO LTD. removed 102,896 shares (-31.4%) from their portfolio in Q3 2024
  • BOOTHBAY FUND MANAGEMENT, LLC added 91,582 shares (+inf%) to their portfolio in Q2 2024
  • NAVELLIER & ASSOCIATES INC removed 91,195 shares (-100.0%) from their portfolio in Q3 2024
  • UNIPLAN INVESTMENT COUNSEL, INC. removed 89,487 shares (-100.0%) from their portfolio in Q2 2024
  • LEGAL & GENERAL GROUP PLC removed 56,125 shares (-17.9%) from their portfolio in Q3 2024
  • MILLENNIUM MANAGEMENT LLC在2024年第二季度从其投资组合中移除了234,959股股票(-96.2%)
  • JPMORGAN CHASE & CO在2024年第三季度向其投资组合中增加了105,711股股票(+54.7%)
  • INVESCO LTD.在2024年第三季度从其投资组合中移除了102,896股股票(-31.4%)
  • BOOTHBAY FUND MANAGEMENT, LLC在2024年第二季度向其投资组合中增加了91,582股股票(+inf%)
  • NAVELLIER & ASSOCIATES INC在2024年第三季度从其投资组合中移除了91,195股股票(-100.0%)
  • UNIPLAN INVESTMENT COUNSEL, INC.在2024年第二季度从其投资组合中移除了89,487股股票(-100.0%)
  • LEGAL & GENERAL GROUP PLC在2024年第三季度从其投资组合中移除了56,125股股票(-17.9%)

To track hedge funds' stock portfolios, check out Quiver Quantitative's institutional holdings dashboard.

要追踪对冲基金的股票组合,请查看Quiver Quantitative的机构持股仪表板。

Full Release

全面发布



GEORGE TOWN, Cayman Islands, Nov. 14, 2024 (GLOBE NEWSWIRE) --

Consolidated Water Co. Ltd

. (NASDAQ Global Select Market: CWCO), a leading designer, builder and operator of advanced water supply and treatment plants, reported results for the third quarter ended September 30, 2024. All comparisons are to the same prior year period unless otherwise noted.


2024年11月14日,开曼群岛(GLOBE NEWSWIRE)——

consolidated water有限公司

(纳斯达克全球精选市场:CWCO),一家领先的先进给水和处理厂的设计、建造和运营商,公布了截至2024年9月30日的第三季度业绩。除非另有说明,所有比较均与去年同期相同。



Consolidated Water will hold a conference call at 11:00 a.m. Eastern time tomorrow to discuss the results (see dial-in information below).


consolidated water将于明天东部时间上午11:00举行电话会议,讨论业绩(请参见下面的拨入信息)。




Third Quarter 2024 Financial Key Points



2024年第三季度财务要点



  • Total revenue declined 33% to $33.4 million, due to two large construction projects that were underway in 2023 but were completed earlier this year. Meanwhile, the company's ongoing $147 million design-build-operate desalination plant project in Hawaii continues to progress through development towards the construction phase.

  • Retail revenue increased 5% to $7.6 million on higher sales volumes.

  • Bulk revenue increased 3% to $8.8 million.

  • Manufacturing revenue decreased by $362,000 to $4.4 million.

  • Services revenue declined by 57% (or approximately $16.7 million) to $12.7 million due to a $20.6 million decline in construction revenue that was partially offset by a $2.5 million increase in recurring operations and maintenance (O&M) revenue and a $1.3 million increase in design and consulting revenue.

  • Net income from continuing operations attributable to company stockholders totaled $5.0 million or $0.31 per diluted share, compared to $8.8 million or $0.55 per diluted share in the third quarter of 2023.

  • Net income including discontinued operations attributable to company stockholders totaled $4.5 million or $0.28 per diluted share, compared to $8.6 million or $0.54 per diluted share in the third quarter of 2023.

  • Cash and cash equivalents totaled $104.9 million and working capital was $133.9 million as of September 30, 2024.

  • 由于2023年进行中但今年较早完成的两个大型施工项目,总营业收入下降33%,为3340万美元。同时,公司在夏威夷进行中的持续14700万美元设计-建造-运营海水淡化厂项目,继续向施工阶段发展。

  • 零售营业收入增长了5%,达到760万,主要是由于成交量的增加。

  • 散装营业收入增长了3%,达到880万。

  • 制造业-半导体营业收入减少了362,000,降至440万。

  • 服务营业收入下降了57%(即约1670万),降至1270万,主要由于施工营业收入减少2060万,但部分被运营和维护(O&M)营业收入增加250万以及设计和咨询营业收入增加130万所抵消。

  • 归属于公司股东的持续经营净利润总计为500万美元,或每稀释股0.31美元,相较于2023年第三季度的880万美元或每稀释股0.55美元。

  • 包括停业业务在内的归属于公司股东的净利润总计为450万美元,或每稀释股0.28美元,相较于2023年第三季度的860万美元或每稀释股0.54美元。

  • 截至2024年9月30日,现金及现金等价物总计为10490万美元,营运资金为13390万美元。



Third Quarter 2024 Operational Key Points



2024年第三季度运营关键点



  • Volume of retail water sold in the company's utility service area in Grand Cayman increased 4.2% compared with the same period in 2023. The volume of water sold increased due to a 4.8% increase in the number of customer connections in the company's license area from September 30, 2023 to September 30, 2024.

  • Continued piloting, design and permitting of a $147 million project to design, construct, operate and maintain a seawater desalination plant for the Board of Water Supply of Honolulu, Hawaii.

  • Recognized $2.1 million in operations and maintenance revenue from

    REC

    which Consolidated Water acquired in October 2023 to provide a new channel for expansion in water-stressed regions of Colorado.

  • 公司在大开曼公用事业服务区销售的零售水量同比增加4.2%。由于2023年9月30日至2024年9月30日公司许可区域内客户连接数增加了4.8%,水销量也出现增长。

  • 继续进行一项价值14700万美元的项目的试点、设计和许可,以为夏威夷檀香山水务局设计、建造、运营和维护一个海水淡化厂。

  • 从中认定了210万美元的运营和保养收入

    REC

    这为Consolidated Water提供了一个新的扩张渠道,以应对科罗拉多水资源短缺地区。该业务是2023年10月收购的。



Management Commentary



管理层评论



"In the third quarter, our revenue and profitability were consistent with our expectations, given the completion of two large design-build projects earlier this year," stated company CEO, Rick McTaggart. "We were pleased to see the continuing trend of increasing retail water sales in our exclusive utility service area on Grand Cayman due to the continued business and population growth on the island.


公司首席执行官Rick McTaggart表示:“在第三季度,我们的营业收入和盈利与预期一致,这得益于今年初两个大型设计-施工项目的完工。我们很高兴看到大开曼独家公用事业服务区的零售水销售持续增长,这归因于岛上业务和人口的持续增长。”



"While our Bulk segment had relatively consistent revenue compared to last year, we saw an increase in gross margin from our new operations and maintenance (O&M) contract for the new Red Gate II plant that we completed earlier this year for the Water Authority-Cayman.


尽管我们的大宗业务收入与去年相比相对一致,但由于我们为开曼群岛水务局今年早些时候完成的新Red Gate II工厂的运营和维护(O&M)合同增加,毛利率有所提高。



"Services revenue declined by about half due to our anticipated reduction in construction revenue related to the conclusion of our Liberty Utilities and Red Gate II projects. These projects had a major impact on 2023 revenue but were completed prior to the start of the current quarter.


由于我们预计的与Liberty Utilities和Red Gate II项目结束相关的施工营业收入减少,服务营业收入下降了约一半。虽然这些项目对2023年的营业收入产生了重大影响,但在当前季度开始之前已完成了。



"The decline in construction revenue was partially offset by a $2.5 million increase in recurring O&M revenue. The increase included $2.1 million from our REC subsidiary in Colorado which we acquired in October of last year. REC provides us a new channel for expansion of our design-build and O&M businesses into water-stressed regions of Colorado. The balance of the increase in recurring revenue from O&M contracts was generated by our PERC Water subsidiary.


施工营业收入的下降部分被持续运营维护(O&m)营业收入增加250万美元部分抵消。其中,去年10月我们收购的科罗拉多REC子公司贡献了210万美元。REC为我们提供了一个进军科罗拉多水资源紧缺地区设计建造和O&m业务的新渠道。来自O&m合同的持续收入增长的余额由我们的PERC Water子公司产生。



"Despite the small decline in manufacturing revenue this quarter, manufacturing gross profit grew 84% to $1.6 million—thanks to our relentless pursuit of higher-margin products and maximizing production efficiency. Based on the opportunities we see ahead of us, we believe that this improving trend in our manufacturing segment will continue and its operating results will remain stable and profitable.


尽管本季度制造业营业收入有所下降,但制造业毛利润增长了84%,达到160万美元——这要归功于我们对高毛利产品的不懈追求以及生产效率的最大化。根据我们看到的机会,我们相信我们制造业部门的这种改善趋势将持续下去,其运营结果将保持稳定且盈利。



"We continue to advance our development activities on the $147 million project to design, construct, operate and maintain a seawater desalination plant for the Board of Water Supply of Honolulu in Hawaii. Since we announced the project in June of last year, we have been advancing through the piloting, design and permitting stage. We plan to begin the construction phase late next year, which represents the largest portion of the revenue we expect to generate from the project.


我们继续推进我们在夏威夷檀香山水务委员会(Board of Water Supply of Honolulu)的14700万美元项目的设计、建造、运营和维护开发工作。自从我们在去年六月宣布这个项目以来,我们一直在推进试点、设计和许可审批阶段。我们计划从明年年底开始施工阶段,这代表我们预计从该项目中产生的主要营业收入部分。



"Looking ahead, we remain excited about the future and for many reasons. At the macro level, growing water scarcity continues to build interest in advanced treatment and desalination solutions for impaired resources. As water supply challenges increase, there is a rising demand for the specialized capabilities we provide.


展望未来,我们对未来感到兴奋,原因有很多。在宏观层面,不断加剧的水资源稀缺引起了人们对受损资源进行高级处理和海水淡化解决方案的兴趣增加。随着水资源供应挑战加剧,我们提供的专业能力需求也在不断增加。



"Specific positive factors include the strong water sales growth in Grand Cayman and long-term recurring revenue from our Caribbean-based bulk water business and U.S.-based O&M business. Our manufacturing business continues its positive trend, and we expect our desalination plant project in Hawaii to significantly enhance revenue and earnings over the coming years.


具体的积极因素包括格兰开曼的水销售额强劲增长以及来自我们总部位于加勒比海地区和美国的O&m业务的长期持续营业收入。我们的制造业业务继续保持积极态势,我们预计我们在夏威夷的海水淡化厂项目将在未来几年显著增加营业收入和盈利。



"Enabled by an exceptionally strong balance sheet, we will continue to invest in new long-term projects. This includes the new desalination plants for Cat Island, as well as new infrastructure for serving the growing water needs of our utility customers in the Cayman Islands which will ultimately drive future bulk and retail revenue growth.


凭借异常强劲的资产负债表,我们将继续投资于新的长期项目。这包括为Cat Island建设新的海水淡化厂,以及为在开曼群岛的水务客户提供新基础设施,满足不断增长的水需求,最终推动未来批发和零售营业收入的增长。



"Our strong balance sheet also enables us to move quickly on any potential acquisitions. While we are currently in a period between large construction projects, we believe that our award-winning plant designs, our cost-efficient project delivery models, and our unmatched industry experience will help us secure new projects we are pursuing.


我们强劲的资产负债表还使我们能够迅速行动,进行任何潜在收购。虽然我们目前处于大规模施工项目之间的时期,但我们相信我们备受赞誉的工厂设计、成本高效的项目交付模式,以及无与伦比的行业经验将帮助我们确保我们正在追求的新项目。



"The course we charted for our company several years ago, which involved diversifying our product offerings and market areas beyond seawater desalination in the Caribbean, has continued to prove successful and lays the path for strong growth ahead.


几年前我们为公司制定的发展道路包括将产品供应和市场领域多样化,超越加勒比海的海水淡化领域,这一举措持续取得成功,并为未来强劲增长铺平道路。



"As we complete 2024 and prepare for the new year, we anticipate that all of these positive factors will continue to support our long-term growth, enhance future profitability, and further strengthen shareholder value."


随着我们结束2024年,准备迎接新一年,我们预计所有这些积极因素将继续支持我们的长期增长,提升未来盈利能力,进一步增强股东价值。




Third Quarter 2024 Financial Summary



2024年第三季度财务摘要



Revenue totaled $33.4 million, declining 33% from $49.9 million in the third quarter of 2023. The decrease was due to decreases of $16.7 million in the services segment and $362,000 in the manufacturing segment. The decreases were partially offset by increases of $369,000 in the retail segment and $279,000 in the bulk segment.


营业收入总计3340万,较2023年第三季度的4990万下降了33%。下降的原因是服务部门减少了1670万和制造业-半导体减少了362,000。这些下降部分被零售部门增加的369,000和批量部门增加的279,000所抵消。



Retail revenue increased due to a 4.2% increase in the volume of water sold. The volume of water sold increased due to a 4.8% increase in the number of customer accounts in the company's license area from September 30, 2023 to September 30, 2024.


由于售水量增加4.2%,零售营业收入增加。售水量的增加是由于公司许可区域内客户账户数量从2023年9月30日到2024年9月30日增加了4.8%。



The increase in bulk segment revenue was due to the commencement on May 1, 2024 of the operating and maintenance contract for the new Red Gate desalination plant for the Water Authority of the Cayman Island. The increase was also due to an amendment of the company's North Sound contract, which became effective May 1, 2024.


批发业务收入增长是因为从2024年5月1日起为开曼群岛水务局的新Red Gate海水淡化厂承担运营和维护合同。增长还归因于公司的North Sound合同修订,该修订于2024年5月1日生效。



The decrease in services segment revenue was due to plant construction revenue decreasing from $24.2 million in 2023 to $3.6 million in 2024 as the result of two construction projects being completed earlier this year. Revenue generated under operations and maintenance contracts totaled $7.5 million in the third quarter of 2024, an increase of 49% from the third quarter of 2023. Newly acquired REC contributed $2.1 million to the increase, with the remainder related to incremental PERC contracts.


服务部门营业收入的减少是由于施工收入从2023年的2420万下降至2024年的360万,这主要是因为今年早些时候两个施工项目提前完成。2024年第三季度的运营和维护合同下产生的营业收入总计750万,较2023年第三季度增长49%。新收购的REC贡献了210万的增长,其余与增量PERC合同相关。



Manufacturing segment revenue decreased by $362,000 to $4.4 million as compared to $4.7 million in the third quarter of 2023.


制造业-半导体板块的营业收入减少了362,000美元,降至440万,相较于2023年第三季度的470万。



Gross profit for the third quarter of 2024 was $11.6 million (34.8% of total revenue), as compared to $16.6 million (33.3% of total revenue) in the third quarter of 2023.


2024年第三季度的毛利润为1160万(占总营业收入的34.8%),相较于2023年第三季度的1660万(占总营业收入的33.3%)。



Net income from continuing operations attributable to Consolidated Water stockholders for the third quarter of 2024 was $5.0 million or $0.31 per diluted share, compared to net income of $8.8 million or $0.55 per diluted share in the third quarter of 2023.


2024年第三季度归属于consolidated water股东的持续经营净利润为500万美元,合每股摊薄收益0.31美元,而2023年第三季度净利润为880万美元,合每股摊薄收益0.55美元。



Including discontinued operations, net income attributable to Consolidated Water stockholders for the third quarter of 2024 was $4.5 million or $0.28 per diluted share, compared to net income of $8.6 million or $0.54 per diluted share in the third quarter of 2023.


包括已停止的业务,在2024年第三季度,归属于Consolidated Water股东的净利润为450万美元,每股稀释盈利为0.28美元,相比于2023年第三季度的净利润为860万美元,每股稀释盈利为0.54美元。



Cash and cash equivalents totaled $104.9 million as of September 30, 2024, with working capital of $133.9 million, debt of $0.2 million, and stockholders' equity of $209.8 million.


截至2024年9月30日,现金及现金等价物总额为10490万美元,流动资本为13390万美元,债务为20万美元,股东权益为20980万美元。




First Nine Months 2024 Financial Summary



2024年前九个月财务摘要



Revenue for the first nine months of 2024 was $105.6 million, down 17% compared to $127.0 million in the same year-ago period. The decrease was attributable to decreases of $0.4 million in the bulk segment and $24.2 million in the services segment. The decreases were partially offset by increases of $1.8 million in the retail segment and $1.4 million in the manufacturing segment.


2024年前九个月的营业收入为10560万美元,同比下降17%,而去年同期为12700万美元。减少主要是由于大宗商品板块减少40万美元以及服务板块减少2420万美元。减少部分被零售板块增加180万美元和制造板块增加140万美元所部分抵消。



Retail revenue increased primarily due to a 6.9% increase in the volume of water sold. The volume of water sold increased due to a 4.8% increase in the number of customer accounts in the company's license area from September 30, 2023 to September 30, 2024.


零售营业收入增加,主要是由于销售水量增加了6.9%。销售水量的增加是由于该公司牌照区域客户账户数量从2023年9月30日至2024年9月30日增加了4.8%。



The decrease in bulk segment revenue was due to a decrease in energy costs for CW-Bahamas, which decreased the energy pass-through component of CW-Bahamas' rates.


大宗部门营业收入下降,是由于CW-巴哈马的能源成本下降,从而降低了CW-巴哈马的费率中的能源转嫁组分。



The decrease in services segment revenue was due to a $36.4 million decrease in plant construction revenue. Revenue generated under operations and maintenance contracts totaled $21.7 million in the first nine months of 2024, up 70% as compared to $12.8 million in the same year-ago period. Newly acquired REC contributed $5.9 million of the increase, with the remainder related to incremental PERC contracts.


服务业务部门收入的下降是由于施工收入减少了3640万。根据运营和维护合同产生的收入在2024年前九个月总计2170万,比起去年同期的1280万增长了70%。新收购的REC贡献了590万的增长,其余部分与增量的PERC合同有关。



The increase in manufacturing segment revenue was due to increased production activity.


制造业-半导体部门收入的增加是由于生产活动的增加。



Gross profit for the first nine months of 2024 was $37.1 million (35.2% of total revenue), down 13% from $42.6 million (33.6% of total revenue) in the same year-ago period.


2024年前九个月的毛利润为3710万(占总营业收入的35.2%),比2023年同期的4260万(占总营业收入的33.6%)下降了13%。



Net income from continuing operations attributable to stockholders for the first nine months of 2024 was $16.1 million or $1.01 per diluted share, compared to net income of $20.4 million or $1.28 per diluted share for the first nine months of 2023.


2024年前九个月持续经营的净利润为1610万,或每股摊薄收益1.01美元,而2023年前九个月的净利润为2040万,或每股摊薄收益1.28美元。



Including discontinued operations, net income attributable to Consolidated Water stockholders for the first nine months of 2024 was $26.8 million or $1.68 per fully diluted share, up from net income of $19.7 million or $1.24 per fully diluted share in the same period of 2023. The increase was primarily due to a $12.1 million gain on sale of land and project documentation in Mexico during the second quarter of 2024.


包括终止经营在内,2024年前九个月归属于consolidated water股东的净利润为2680万,或每股完全摊薄收益1.68美元,较2023年同期的1970万或每股1.24美元有所增加。这一增长主要是由于2024年第二季度在墨西哥出售土地和项目文件获得了1210万的收益。




Third Quarter Segment Results



第三季度分段结果























































































































































































































































































































































Three Months Ended September 30, 2024




Retail




Bulk




Services




Manufacturing




Total


Revenue

$

7,585,992



$

8,767,168



$

12,677,837



$

4,359,560



$

33,390,557


Cost of revenue


3,606,944




5,969,292




9,409,325




2,770,338




21,755,899


Gross profit


3,979,048




2,797,876




3,268,512




1,589,222




11,634,658


General and administrative expenses


4,359,476




381,230




1,469,845




745,418




6,955,969


Gain on asset dispositions and impairments, net


201,582



















201,582


Income (loss) from operations

$

(178,846

)


$

2,416,646



$

1,798,667



$

843,804




4,880,271


Other income, net

















724,040


Income before income taxes

















5,604,311


Provision for income taxes

















490,209


Net income from continuing operations

















5,114,102


Income from continuing operations attributable to non-controlling interests

















156,784


Net income from continuing operations attributable to Consolidated Water Co. Ltd. stockholders

















4,957,318


Net loss from discontinued operations

















(502,854

)

Net income attributable to Consolidated Water Co. Ltd. stockholders
















$

4,454,464




截至2024年9月30日的三个月




零售业




批发




服务




制造业-半导体




总计


收入

$

7,585,992



$

8,767,168



$

12,677,837



$

4,359,560



$

33,390,557


营收成本


3,606,944




5,969,292




9,409,325




2,770,338




21,755,899


毛利润


3,979,048




2,797,876




3,268,512




1,589,222




11,634,658


一般和行政费用


4,359,476




381,230




1,469,845




745,418




6,955,969


资产处置收益和减值,净额


201,582



















201,582


营业收入(亏损)

$

(178,846

)


$

2,416,646



$

1,798,667



$

843,804




4,880,271


其他收入,净额

















724,040


税前收入

















5,604,311


所得税准备金

















490,209


持续经营的净收入

















5,114,102


持续经营收益归属于非控股权益

















156,784


归属于consolidated water公司的持续经营净利润

















4,957,318


来自已停业业务的净亏损

















(502,854

)

归属于consolidated water公司的净利润股东
















$

4,454,464


































































































































































































































































































































Three Months Ended September 30, 2023




Retail




Bulk




Services




Manufacturing




Total


Revenue

$

7,216,574



$

8,488,615



$

29,427,664



$

4,721,222



$

49,854,075


Cost of revenue


3,371,891




5,835,837




20,174,645




3,857,274




33,239,647


Gross profit


3,844,683




2,652,778




9,253,019




863,948




16,614,428


General and administrative expenses


4,225,825




347,668




861,835




437,162




5,872,490


Income (loss) from operations

$

(381,142

)


$

2,305,110



$

8,391,184



$

426,786




10,741,938


Other income, net

















236,066


Income before income taxes

















10,978,004


Provision for income taxes

















1,976,453


Net income from continuing operations

















9,001,551


Income attributable to non-controlling interests

















163,428


Net income from continuing operations attributable to Consolidated Water Co. Ltd. stockholders

















8,838,123


Net loss from discontinued operations

















(232,994

)

Net income attributable to Consolidated Water Co. Ltd. stockholders
















$

8,605,129




截至2023年9月30日的三个月




零售业




批发




服务




制造业-半导体




总计


收入

$

7,216,574



$

8,488,615



$

29,427,664



$

4,721,222



$

49,854,075


营收成本


3,371,891




5,835,837




20,174,645




3,857,274




33,239,647


毛利润


3,844,683




2,652,778




9,253,019




863,948




16,614,428


一般和行政费用


4,225,825




347,668




861,835




437,162




5,872,490


营业收入(亏损)

$

(381,142

)


$

2,305,110



$

8,391,184



$

426,786




10,741,938


其他收入,净额

















236,066


税前收入

















10,978,004


所得税准备金

















1,976,453


持续经营的净收入

















9,001,551


非控股权益所占收入

















163,428


归属于consolidated water公司的持续经营净利润

















8,838,123


来自已停业业务的净亏损

















(232,994

)

归属于consolidated water公司的净利润股东
















$

8,605,129




First Nine Months Segment Results



前三季度的部门业绩
































































































































































































































































































































































Nine Months Ended September 30, 2024




Retail




Bulk




Services




Manufacturing




Total


Revenue

$

24,392,814



$

25,557,220



$

42,017,917



$

13,591,154



$

105,559,105


Cost of revenue


10,828,421




17,632,010




30,536,801




9,428,978




68,426,210


Gross profit


13,564,393




7,925,210




11,481,116




4,162,176




37,132,895


General and administrative expenses


12,842,624




1,088,639




4,264,323




1,930,706




20,126,292


Gain on asset dispositions and impairments, net


195,452









3,000









198,452


Income from operations

$

917,221



$

6,836,571



$

7,219,793



$

2,231,470




17,205,055


Other income, net


















1,560,650


Income before income taxes


















18,765,705


Provision for income taxes


















2,175,838


Net income from continuing operations


















16,589,867


Income from continuing operations attributable to non-controlling interests


















448,724


Net income from continuing operations attributable to Consolidated Water Co. Ltd. stockholders


















16,141,143


Net income from discontinued operations


















10,637,926


Net income attributable to Consolidated Water Co. Ltd. stockholders

















$

26,779,069




截至2024年9月30日的九个月




零售业




批发




服务




制造业-半导体




总计


收入

$

24,392,814



$

25,557,220



$

42,017,917



$

13,591,154



$

105,559,105


营收成本


10,828,421




17,632,010




30,536,801




9,428,978




68,426,210


毛利润


13,564,393




7,925,210




11,481,116




4,162,176




37,132,895


一般和行政费用


12,842,624




1,088,639




4,264,323




1,930,706




20,126,292


资产处置收益和减值,净额


195,452









3,000









198,452


营业利润

$

917,221



$

6,836,571



$

7,219,793



$

2,231,470




17,205,055


其他收入,净额


















1,560,650


税前收入


















18,765,705


所得税准备金


















2,175,838


持续经营的净收入


















16,589,867


持续经营收益归属于非控股权益


















448,724


归属于consolidated water公司的持续经营净利润


















16,141,143


终止经营活动的净利润


















10,637,926


归属于consolidated water公司的净利润股东

















$

26,779,069
























































































































































































































































































































































Nine Months Ended September 30, 2023




Retail




Bulk




Services




Manufacturing




Total


Revenue

$

22,560,998



$

25,975,483



$

66,243,328



$

12,180,519



$

126,960,328


Cost of revenue


10,355,817




18,010,718




46,466,864




9,489,870




84,323,269


Gross profit


12,205,181




7,964,765




19,776,464




2,690,649




42,637,059


General and administrative expenses


12,668,467




1,080,543




2,855,067




1,289,990




17,894,067


Gain (loss) on asset dispositions and impairments, net


(7,287

)



12,270









1,933




6,916


Income (loss) from operations

$

(470,573

)


$

6,896,492



$

16,921,397



$

1,402,592




24,749,908


Other income, net

















522,256


Income before income taxes

















25,272,164


Provision for income taxes

















4,366,005


Net income from continuing operations

















20,906,159


Income from continuing operations attributable to non-controlling interests

















463,775


Net income from continuing operations attributable to Consolidated Water Co. Ltd. stockholders

















20,442,384


Net loss from discontinued operations

















(699,858

)

Net income attributable to Consolidated Water Co. Ltd. stockholders
















$

19,742,526




截至2023年9月30日的九个月




零售业




批发




服务




制造业-半导体




总计


收入

$

22,560,998



$

25,975,483



$

66,243,328



$

12,180,519



$

126,960,328


营收成本


10,355,817




18,010,718




46,466,864




9,489,870




84,323,269


毛利润


12,205,181




7,964,765




19,776,464




2,690,649




42,637,059


一般和行政费用


12,668,467




1,080,543




2,855,067




1,289,990




17,894,067


资产处置和减值的收益(损失),净值


(7,287

)



12,270









1,933




6,916


营业收入(亏损)

$

(470,573

)


$

6,896,492



$

16,921,397



$

1,402,592




24,749,908


其他收入,净额

















522,256


税前收入

















25,272,164


所得税准备金

















4,366,005


持续经营的净收入

















20,906,159


持续经营收益归属于非控股权益

















463,775


归属于consolidated water公司的持续经营净利润

















20,442,384


来自已停业业务的净亏损

















(699,858

)

归属于consolidated water公司的净利润股东
















$

19,742,526




Conference Call



电话会议



Consolidated Water management will host a conference call tomorrow to discuss these results, which will include a question-and-answer period.


Consolidated Water管理将于明天举行电话会议,讨论这些结果,会议将包括问答环节。



Date: Friday, November 15, 2024
Time: 11:00 a.m. Eastern time (8:00 a.m. Pacific time)
Toll-free dial-in number: 1-844-875-6913
International dial-in number: 1-412-317-6709
Conference ID: 5709326


日期:2024年11月15日周五
时间:东部时间上午11:00(太平洋时间上午8:00)
免费拨入号码:1-844-875-6913
国际拨入号码:1-412-317-6709
会议ID:5709326



Please call the conference telephone number five minutes prior to the start time. An operator will register your name and organization. If you require any assistance connecting with the call, please contact CMA at 1-949-432-7566.


请在开始时间前五分钟拨打会议电话。运营商将注册您的姓名和组织。如果您在连接电话时需要任何帮助,请联系CMA,电话1-949-432-7566。



A replay of the call will be available after 1:00 p.m. Eastern time on the same day through November 22, 2024, as well as available for replay via the Investors section of the Consolidated Water website at





.


电话回放将在当天下午1:00至2024年11月22日东部时间结束后提供,也可通过Consolidated Water网站的投资者部分进行查看回放



.



Toll-free replay number: 1-877-344-7529
International replay number: 1-412-317-0088
Replay ID: 5709326


免费重播电话号码:1-877-344-7529
国际重播电话号码:1-412-317-0088
回放ID: 5709326




About Consolidated Water Co. Ltd.



关于 consolidated water 公司



Consolidated Water Co. Ltd. develops and operates advanced water supply and treatment plants and water distribution systems. The company designs, constructs and operates seawater desalination facilities in the Cayman Islands, The Bahamas and the British Virgin Islands, and designs, constructs and operates water treatment and reuse facilities in the United States. The company recently entered the U.S. desalination market with a contract to design, construct, operate and maintain a seawater desalination plant in Hawaii.


consolidated water 公司开发和运营先进的供水和处理厂以及水分配系统。该公司设计、施工和运营开曼群岛、巴哈马和英属维尔京群岛的海水淡化设施,并设计、施工和运营美国的水处理和再利用设施。该公司最近进入美国淡化市场,与夏威夷签订了一项合同,设计、施工、运营和维护海水淡化厂。



The company also manufactures and services a wide range of products and provides design, engineering, management, operating and other services applicable to commercial and municipal water production, supply and treatment, and industrial water and wastewater treatment. For more information, visit


cwco.com


.


该公司还制造和提供广泛的产品和设计、工程、管理、运营以及适用于商业和市政供水处理、工业水和废水处理等其他服务。欲了解更多信息,请访问


cwco.com


.




Cautionary Note Regarding Forward-Looking Statements



关于前瞻性声明的警告



This press release includes statements that may constitute "forward-looking" statements, usually containing the words "believe", "estimate", "project", "intend", "expect", "should", "will" or similar expressions. These statements are made pursuant to the safe harbor provisions of the Private Securities Litigation Reform Act of 1995. Forward-looking statements inherently involve risks and uncertainties that could cause actual results to differ materially from the forward-looking statements. Factors that would cause or contribute to such differences include, but are not limited to (i) continued acceptance of the company's products and services in the marketplace; (ii) changes in its relationships with the governments of the jurisdictions in which it operates; (iii) the outcome of its negotiations with the Cayman government regarding a new retail license agreement; (iv) the collection of its delinquent accounts receivable in the Bahamas; and (v) various other risks, as detailed in the company's periodic report filings with the Securities and Exchange Commission ("SEC"). For more information about risks and uncertainties associated with the company's business, please refer to the "Management's Discussion and Analysis of Financial Condition and Results of Operations" and "Risk Factors" sections of the company's SEC filings, including, but not limited to, its annual report on Form 10-K and quarterly reports on Form 10-Q, copies of which may be obtained by contacting the company's Secretary at the company's executive offices or at the "Investors – SEC Filings" page of the company's website at Except as otherwise required by law, the company undertakes no obligation to update or revise publicly any forward-looking statements, whether as a result of new information, future events or otherwise.

Company Contact:

David W. Sasnett
Executive Vice President and CFO
Tel (954) 509-8200

Email Contact






Investor & Media Relations Contact:

Ron Both or Grant Stude
CMA Investor & Media Relations
Tel (949) 432-7566

Email Contact


本新闻稿包含可能构成“前瞻性的”声明,通常包括“相信”、“估计”、“计划”、“意图”、“预期”、“应当”、“将”或类似表述。这些声明是根据1995年《私人证券诉讼改革法案》的安全港规定发布的。前瞻性声明固有地涉及可能导致实际结果与前瞻性声明有实质差异的风险和不确定性。可能导致或有助于此类差异的因素包括但不限于(i)公司产品和服务在市场上的持续接受程度;(ii)公司与其经营地区政府关系的变化;(iii)公司与开曼政府就新零售许可协议的谈判结果;(iv)在巴哈马收取逾期应收账款;以及(v)公司在其提交给证监会的定期报告备案中详细列出的各种其他风险。有关与公司业务相关的风险和不确定性的更多信息,请参阅公司提交给证监会的定期报告中的“管理层对财务状况和经营结果的讨论与分析”和“风险因素”章节,包括但不限于其年度10-K表格和季度10-Q报告,可通过联系公司秘书处获取,公司执行办事处或公司网站的“投资者 - 证监会文件”页面。除非法律另有要求,公司无义务公开更新或修订任何前瞻性声明,无论是否因为新信息、未来事件或其他原因。

公司联系人:

David W. Sasnett
公司执行副总裁和首席财务官
电话 (954) 509-8200

邮件联系方式






投资者及媒体关系联系人:

Ron Both 或 Grant Stude
CMA投资者和媒体关系
电话(949)432-7566

邮件联系方式


























































































































































































































































































































































































































































































































































CONSOLIDATED WATER CO. LTD.


CONDENSED CONSOLIDATED BALANCE SHEETS












September 30,






December 31,




2024






2023




(Unaudited)







ASSETS










Current assets









Cash and cash equivalents

$

104,869,627



$

42,621,898


Accounts receivable, net


37,199,621




38,226,891


Inventory


3,928,851




6,044,642


Prepaid expenses and other current assets


5,675,517




4,056,370


Contract assets


1,958,361




21,553,057


Current assets of discontinued operations


314,847




211,517



Total current assets



153,946,824




112,714,375


Property, plant and equipment, net


53,203,218




55,882,521


Construction in progress


2,799,135




495,471


Inventory, noncurrent


5,180,540




5,045,771


Investment in OC-BVI


1,384,891




1,412,158


Goodwill


12,861,404




12,861,404


Intangible assets, net


2,860,907




3,353,185


Operating lease right-of-use assets


3,328,936




2,135,446


Other assets


2,801,873




3,407,973


Long-term assets of discontinued operations







21,129,288



Total assets


$

238,367,728



$

218,437,592











LIABILITIES AND EQUITY










Current liabilities









Accounts payable, accrued expenses and other current liabilities

$

7,108,726



$

11,604,369


Accrued compensation


3,747,516




3,160,030


Dividends payable


1,803,926




1,572,655


Current maturities of operating leases


633,971




456,865


Current portion of long-term debt


151,276




192,034


Contract liabilities


6,018,720




6,237,011


Deferred revenue


170,551




317,017


Current liabilities of discontinued operations


451,839




364,665



Total current liabilities



20,086,525




23,904,646


Long-term debt, noncurrent


91,561




191,190


Deferred tax liabilities


227,253




530,780


Noncurrent operating leases


2,784,742




1,827,302


Other liabilities


153,000




153,000


Deferred revenue


38,424








Total liabilities



23,381,505




26,606,918



Commitments and contingencies










Equity









Consolidated Water Co. Ltd. stockholders' equity








Redeemable preferred stock, $0.60 par value. Authorized 200,000 shares; issued and outstanding 44,650 and 44,297 shares, respectively


26,790




26,578


Class A common stock, $0.60 par value. Authorized 24,655,000 shares; issued and outstanding 15,834,459 and 15,771,545 shares, respectively


9,500,675




9,462,927


Class B common stock, $0.60 par value. Authorized 145,000 shares; none issued










Additional paid-in capital


93,074,517




92,188,887


Retained earnings


107,164,155




85,148,820


Total Consolidated Water Co. Ltd. stockholders' equity


209,766,137




186,827,212


Non-controlling interests


5,220,086




5,003,462



Total equity



214,986,223




191,830,674



Total liabilities and equity


$

238,367,728



$

218,437,592



consolidated water


简明合并资产负债表












9月30日,






2023年12月31日,




2024






2023




(未经审计)







资产










流动资产









现金及现金等价物

$

104,869,627



$

42,621,898


应收账款,净额


37,199,621




38,226,891


存货


3,928,851




6,044,642


预付费用及其他流动资产


5,675,517




4,056,370


合同资产


1,958,361




21,553,057


已停止运营部门的流动资产


314,847




211,517



总流动资产



153,946,824




112,714,375


物业、厂房和设备,净值


53,203,218




55,882,521


建设中的工程


2,799,135




495,471


库存,长期资产


5,180,540




5,045,771


对OC-BVI的投资


1,384,891




1,412,158


商誉


12,861,404




12,861,404


无形资产-净额


2,860,907




3,353,185


经营租赁使用权资产


3,328,936




2,135,446


其他资产


2,801,873




3,407,973


停止运营的资产长期资产







21,129,288



总资产


$

238,367,728



$

218,437,592











负债和股东权益










流动负债









应付账款、应计费用及其他流动负债

$

7,108,726



$

11,604,369


应计薪酬


3,747,516




3,160,030


应付股息


1,803,926




1,572,655


经营租赁的到期债务


633,971




456,865


长期债务的流动部分


151,276




192,034


合同责任


6,018,720




6,237,011


递延收入


170,551




317,017


已停止运营的流动负债


451,839




364,665



总流动负债



20,086,525




23,904,646


开多期债务,非流动


91,561




191,190


递延所得税负债


227,253




530,780


非流动经营租赁


2,784,742




1,827,302


其他负债


153,000




153,000


递延收入


38,424








总负债



23,381,505




26,606,918



承诺和 contingencies










股权









汇合水务有限公司股东权益








可赎回优先股,面值0.60美元。授权200,000股;已发行和流通股分别为44,650和44,297股


26,790




截至2024年6月30日未实现平衡为1,604,235个


A类普通股,面值0.60美元。授权发行24,655,000股;已发行和流通分别为15,834,459股和15,771,545股


9,500,675




9,462,927


B类普通股,面值0.60美元。授权发行145,000股;未发行










追加实收资本


93,074,517




92,188,887


留存收益


107,164,155




85,148,820


总的 consolidated water 股东权益


209,766,137




186,827,212


非控制性权益


5,220,086




5,003,462



总股本



214,986,223




191,830,674



总负债和权益


$

238,367,728



$

218,437,592


















































































































































































































































































































































































































































































































































































































































































































CONSOLIDATED WATER CO. LTD.


CONDENSED CONSOLIDATED STATEMENTS OF INCOME


(UNAUDITED)

















Three Months Ended September 30,




Nine Months Ended September 30,




2024




2023




2024




2023



Revenue


$

33,390,557



$

49,854,075



$

105,559,105



$

126,960,328



Cost of revenue



21,755,899




33,239,647




68,426,210




84,323,269



Gross profit



11,634,658




16,614,428




37,132,895




42,637,059


General and administrative expenses


6,955,969




5,872,490




20,126,292




17,894,067


Gain on asset dispositions and impairments, net


201,582









198,452




6,916



Income from operations



4,880,271




10,741,938




17,205,055




24,749,908















Other income (expense):













Interest income


626,801




196,567




1,341,797




396,348


Interest expense


(32,801

)



(34,020

)



(99,740

)



(108,111

)

Profit-sharing income from OC-BVI


20,250




12,150




52,650




38,475


Equity in the earnings of OC-BVI


53,370




37,182




147,333




108,012


Other


56,420




24,187




118,610




87,532



Other income, net



724,040




236,066




1,560,650




522,256



Income before income taxes



5,604,311




10,978,004




18,765,705




25,272,164



Provision for income taxes



490,209




1,976,453




2,175,838




4,366,005



Net income from continuing operations



5,114,102




9,001,551




16,589,867




20,906,159



Income from continuing operations attributable to non-controlling interests



156,784




163,428




448,724




463,775



Net income from continuing operations attributable to Consolidated Water Co. Ltd. stockholders



4,957,318




8,838,123




16,141,143




20,442,384



Net income (loss) from discontinued operations



(502,854

)



(232,994

)



10,637,926




(699,858

)


Net income attributable to Consolidated Water Co. Ltd. stockholders


$

4,454,464



$

8,605,129



$

26,779,069



$

19,742,526















Basic earnings (loss) per common share attributable to Consolidated Water Co. Ltd. common stockholders














Continuing operations


$

0.31



$

0.56



$

1.02



$

1.30



Discontinued operations



(0.03

)



(0.01

)



0.67




(0.05

)


Basic earnings per share


$

0.28



$

0.55



$

1.69



$

1.25















Diluted earnings (loss) per common share attributable to Consolidated Water Co. Ltd. common stockholders














Continuing operations


$

0.31



$

0.55



$

1.01



$

1.28



Discontinued operations



(0.03

)



(0.01

)



0.67




(0.04

)


Diluted earnings per share


$

0.28



$

0.54



$

1.68



$

1.24















Dividends declared per common and redeemable preferred shares


$

0.11



$

0.095



$

0.30



$

0.265















Weighted average number of common shares used in the determination of:













Basic earnings per share


15,833,715




15,742,854




15,830,599




15,734,234


Diluted earnings per share


15,989,601




15,928,604




15,986,019




15,909,725



consolidated water


简明合并利润表


(未经审计)

















截至9月30日的三个月




截至9月30日的九个月




2024




2023




2024




2023



收入


$

33,390,557



$

49,854,075



$

105,559,105



$

126,960,328



营收成本



21,755,899




33,239,647




68,426,210




84,323,269



毛利润



11,634,658




16,614,428




37,132,895




42,637,059


一般和行政费用


6,955,969




5,872,490




20,126,292




17,894,067


资产处置收益和减值,净额


201,582









198,452




6,916



营业利润



4,880,271




10,741,938




17,205,055




24,749,908















其他收入(费用):













利息收入


626,801




196,567




1,341,797




396,348


利息支出


(32,801

)



(34,020

)



(99,740

)



(108,111

)

来自OC-BVI的利润分享收入


所有基金类型




12,150




52,650




38,475


在OC-BVI的收益中所持股份


53,370




37,182




147,333




108,012


其他


56,420




24,187




118,610




87,532



其他收入,净额



724,040




236,066




1,560,650




522,256



税前收入



5,604,311




10,978,004




18,765,705




25,272,164



所得税准备金



490,209




1,976,453




2,175,838




4,366,005



持续经营的净收入



5,114,102




9,001,551




16,589,867




20,906,159



持续经营收益归属于非控股权益



156,784




163,428




448,724




463,775



归属于consolidated water公司的持续经营净利润



4,957,318




8,838,123




16,141,143




20,442,384



净利润 (终止经营)



(502,854

)



(232,994

)



10,637,926




(699,858

)


归属于consolidated water公司的净利润股东


$

4,454,464



$

8,605,129



$

26,779,069



$

19,742,526















归属于Consolidated Water Co. Ltd.普通股东的基本每股收益(亏损)














持续经营


$

0.31



$

0.56



$

1.02



$

1.30



已停止的营运



(0.03

)



(0.01

)



0.67




(0.05

)


每股基本收益


$

0.28



$

0.55



$

1.69



$

根据公司的固定费用覆盖率,利率为1.25% 至 1.75%每年,或者(b)有一个“备选主板利率”,并可减少至0.75%每年,取决于公司的固定费用覆盖率。截至2021年7月3日,公司的基于LIBOR的利率为% (对于$),公司的主板基准利率为% (对于$)。根据未取出的贷款利率,每月应支付承诺费,利率为%每年。根据与摩根大通银行(“贷款协议”)的信贷协议的条款,现金收据将被存入锁匣中,并由公司自行决定,除非处于“现金控制期”,在此期间,现金收据将用于减少贷款协议下的应付金额。现金控制期在事件违约或可用余额连续三个工作日低于$时触发,并将继续到先前的连续天数中存在任何违约事件且多余的可用余额始终大于$(这样的触发器根据公司的循环承诺进行调整)。此外,如果依据信贷协议所定义的“额外可用余额”小于$,则公司应维持最低固定费用覆盖率为1.0至1.0 (触发器根据公司的循环承诺进行调整)。截至2021年7月3日,公司的可用余额为$25,764。信贷协议要求我们在判断任何应支付股息或进行任何普通股分配时获得摩根大通银行的事先书面同意。信贷设施于2022年12月16日到期。















归属于consolidated water公司普通股股东的每股摊薄收益(损失)














持续经营


$

0.31



$

0.55



$

1.01



$

1.28



已停止的营运



(0.03

)



(0.01

)



0.67




(0.04

)


每股摊薄收益


$

0.28



$

0.54



$

1.68



$

1.24















每股普通股和可赎回优先股宣派的分红派息


$

0.11



$

0.095



$

0.30



$

0.265















用于确定的普通股加权平均数量:













每股基本收益


15,833,715




15,742,854




15,830,599




15,734,234


每股摊薄收益


15,989,601




15,928,604




15,986,019




15,909,725



声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
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