Delivra Health Brands and Its Leading Brands Dream Water (R) and LivRelief(TM) Report Financial Results for First Quarter of Fiscal 2025
Delivra Health Brands and Its Leading Brands Dream Water (R) and LivRelief(TM) Report Financial Results for First Quarter of Fiscal 2025
Vancouver, British Columbia--(Newsfile Corp. - November 25, 2024) - Delivra Health Brands Inc. (TSXV: DHB) (OTCQB: DHBUF) ("Delivra Health" or the "Company"), a consumer packaged goods company in the health and wellness sector, is pleased to announce its financial and operating results for the three months ended September 30, 2024. The Delivra Health portfolio features innovative brands Dream Water and LivRelief, which deliver relief from common health issues such as sleeplessness, chronic pain and anxiety.
不列颠哥伦比亚省温哥华--(Newsfile Corp.,2024年11月25日)——健康和保健领域的包装消费品公司Delivra Health Brands Inc.(TSXV:DHB)(OTCQB:DHBUF)(“Delivra Health” 或 “公司”)欣然宣布其截至2024年9月30日的三个月的财务和经营业绩。Delivra Health产品组合以创新品牌Dream Water和LivRelief为特色,可缓解失眠、慢性疼痛和焦虑等常见健康问题。
Management Commentary
管理层评论
Gord Davey, President and Chief Executive Officer of Delivra Health, commented: "We are committed to delivering increased value to Delivra Health shareholders by strategically reinvesting in our brands, Dream Water, LivRelief and LivRelief Infused, while ensuring we maintain a positive adjusted earnings before interest, taxes, depreciation and amortization ("Adjusted EBITDA") position for fiscal 2025. This balanced approach enables us to support our growth initiatives and keep pace with our strategic goals for fiscal 2025. The Company's latest marketing campaigns, 'Shush Your Mind' for Dream Water and 'Quiets Chronic Pain' for LivRelief, demonstrate our dedication to expanding brand visibility and accessibility across all distribution channels."
Delivra Health总裁兼首席执行官戈德·戴维评论说:“我们致力于通过战略性地再投资我们的品牌Dream Water、LivRelief和LivRelief Infused,为Delivra Health的股东创造更高的价值,同时确保我们在2025财年保持正的利息、税项、折旧和摊销前收益(“调整后的息税折旧摊销前利润”)状况。这种平衡的方法使我们能够支持我们的增长计划,并与2025财年的战略目标保持同步。该公司最新的营销活动,Dream Water的'Shush Your Mind'和LivRelief的'Quets Chronic Pain'的'Quiets Chronic Pain',表明了我们致力于扩大所有分销渠道的品牌知名度和可及性。”
Financial Highlights for the Three months Ended September 30, 2024
(Expressed in thousands of Canadian dollars, except share and per share amounts)
截至2024年9月30日的三个月的财务摘要
(以千加元表示,股票和每股金额除外)
In the first quarter of fiscal 2025, Delivra Health invested significantly in marketing initiatives to expand brand awareness and recognition while maintaining a positive Adjusted EBITDA(1) for fiscal 2025. The Company reported $16 of Adjusted EBITDA(1) in the first quarter of fiscal 2025 compared to $683 in the same period last year. This reduction in Adjusted EBITDA(1) was primarily driven by lower sales this period compared to same period last fiscal year as a result of the timing of purchase order activity; however, sales growth plans for fiscal 2025 remain on track in terms of year-over-year growth. The Company plans to continue investing in marketing campaigns to support such plans.
在2025财年第一季度,Delivra Health对营销计划进行了大量投资,以扩大品牌知名度和知名度,同时保持2025财年调整后息税折旧摊销前利润(1)的正值。该公司在2025财年第一季度公布的调整后息税折旧摊销前利润(1)为16美元,而去年同期为683美元。调整后息税折旧摊销前利润(1)的减少主要是由采购订单活动时机导致本财年同期的销售额下降所致;但是,2025财年的销售增长计划在同比增长方面仍步入正轨。该公司计划继续投资营销活动以支持此类计划。
- Net revenue: For the three months ended September 30, 2024, net revenue was $3,163 compared to $3,671 in the same period in the prior year. The $508 or 14% reduction in net revenue was primarily due to a reduction in sales of Dream Water, which was largely influenced by the unfavorable timing of quarter over quarter purchase order activity.
- 净收入:截至2024年9月30日的三个月,净收入为3,163美元,而去年同期为3,671美元。净收入下降了508美元,下降了14%,这主要是由于Dream Water的销售额减少,这在很大程度上受到季度采购订单活动时机不利的影响。
- Gross profit and gross profit margin: For the three months ended September 30, 2024, the Company reported gross profit of $1,598 and a 51% gross profit margin compared to $1,922 and a 52% gross profit margin in same period last year. The reduction in gross profit is the result of a reduction in sales volume. The reduction in gross profit margin is attributed to higher sales fees related to Company's online sales due to increased investment in advertising and marketing initiatives.
- 毛利和毛利率:在截至2024年9月30日的三个月中,公司公布的毛利为1,598美元,毛利率为51%,而去年同期为1,922美元,毛利率为52%。毛利润的减少是销售量减少的结果。毛利率的下降归因于对广告和营销计划的投资增加,与公司在线销售相关的销售费用增加。
- Expenses including selling, general and administrative expenses and excluding non-cash items: For the three months ended September 30, 2024, the Company reported expenses of $1,607 compared to $1,317 in the same period last year, representing a 20% increase. The increase is primarily driven by higher investments in sales and marketing campaigns and outreach to support branding and distribution initiatives.
- 支出包括销售、一般和管理费用,不包括非现金项目:在截至2024年9月30日的三个月中,公司报告的支出为1,607美元,而去年同期为1,317美元,增长了20%。增长的主要原因是增加对销售和营销活动以及宣传活动的投资,以支持品牌和分销计划。
- Adjusted EBITDA(1): For the three months ended September 30, 2024, the Company reported a positive Adjusted EBITDA of $16 compared to $683 in the same period last year, representing a $667 year-over-year reduction in Adjusted EBITDA. The reduction in Adjusted EBITDA is driven by a reduction in sales volume, which in turn, resulted in a reduction in gross profit in addition to greater marketing investment.
- 调整后的息税折旧摊销前利润(1):在截至2024年9月30日的三个月中,公司报告的调整后息税折旧摊销前利润为16美元,而去年同期为683美元,这意味着调整后的息税折旧摊销前利润同比减少了667美元。调整后息税折旧摊销前利润的减少是由销售量的减少推动的,这反过来又导致毛利减少,同时也增加了营销投资。
Summary of Key Financial Results
主要财务业绩摘要
For the three months ended September 30 | ||
($000's, except share and per share amounts) | 2024 | 2023 |
Net revenue | $3,163 | $3,671 |
Cost of sales | 1,540 | 1,671 |
Inventory write-down | 25 | 78 |
Gross profit | 1,598 | 1,922 |
Gross profit margin | 51% | 52% |
Expenses excluding non-cash expenses | 1,607 | 1,317 |
Depreciation and amortization and share-based compensation | 397 | 335 |
Profit (loss) from operations before other (expense) income | (406) | 270 |
Other (expense) income | (72) | (44) |
Net profit (loss) | (478) | 226 |
Net profit (loss) per share - basic and diluted | (0.002) | 0.001 |
Net cash provided from operating activities | (354) | 187 |
在截至9月30日的三个月中 | ||
(000美元,股票和每股金额除外) | 2024 | 2023 |
净收入 | 3,163 美元 | 3,671 美元 |
销售成本 | 1,540 | 1,671 |
库存减记 | 25 | 78 |
毛利润 | 1,598 | 1,922 |
毛利率 | 51% | 52% |
不包括非现金支出的费用 | 1,607 | 1,317 |
折旧、摊销和基于股份的薪酬 | 397 | 335 |
扣除其他(支出)收入之前的运营利润(亏损) | (406) | 270 |
其他(支出)收入 | (72) | (44) |
净利润(亏损) | (478) | 226 |
每股净利润(亏损)——基本利润和摊薄后 | (0.002) | 0.001 |
经营活动提供的净现金 | (354) | 187 |
Expenses excluding non-cash items
不包括非现金项目的费用
For the three months ended September 30 | ||
($000's, except share and per share amounts) | 2024 | 2023 |
General and administration | $945 | $914 |
Sales and marketing | 662 | 403 |
Total | 1,607 | 1,317 |
在截至9月30日的三个月中 | ||
(000美元,股票和每股金额除外) | 2024 | 2023 |
一般和行政 | 945 美元 | 914 美元 |
销售和营销 | 662 | 403 |
总计 | 1,607 | 1,317 |
Adjusted EBITDA (non-IFRS measure)(1)
调整后的息税折旧摊销前利润(非国际财务报告准则指标)(1)
For the three months ended September 30 | ||
($000's, except share and per share amounts) | 2024 | 2023 |
Profit (loss) from operations | $(406) | $270 |
Inventory write-down | 25 | 78 |
Depreciation and amortization | 326 | 334 |
Share-based compensation | 71 | 1 |
Adjusted EBITDA(1) | 16 | 683 |
在截至9月30日的三个月中 | ||
(000美元,股票和每股金额除外) | 2024 | 2023 |
运营利润(亏损) | 美元 (406) | 270 美元 |
库存减记 | 25 | 78 |
折旧和摊销 | 326 | 334 |
基于股份的薪酬 | 71 | 1 |
调整后的息税折旧摊销前利润 (1) | 16 | 683 |
About Delivra Health Brands Inc.
关于Delivra Health Brands Inc
Helping people take control of their health with alternative wellness solutions is what energizes the Delivra Health team! The Delivra Health portfolio features innovative brands like Dream Water and LivRelief, which deliver relief from common everyday issues like chronic pain, anxiety, and sleeplessness. Delivra Health products have allowed millions of customers to reclaim their mobility, energy, and in turn, quality of life. The websites of the Company's two subsidiaries are Dream Water and LivReliefTM. For more information, please visit .
通过其他健康解决方案帮助人们控制自己的健康是Delivra Health团队充满活力的动力!Delivra Health产品组合以Dream Water和LivRelief等创新品牌为特色,可缓解慢性疼痛、焦虑和失眠等常见的日常问题。Delivra Health 产品使数百万客户能够恢复出行能力、活力,进而提高生活质量。该公司的两家子公司的网站是梦之水和LivReliefTM。欲了解更多信息,请访问。
Non-IFRS Measures, Reconciliation and Discussion
非国际财务报告准则衡量标准、对账和讨论
This press release contains references to "Adjusted EBITDA" which is a non-International Financial Reporting Standards ("IFRS") financial measure. Adjusted EBITDA is a measure of the Company's loss from operations before interest, taxes, depreciation, and amortization and adjusted for share-based compensation, common shares issued for services, fair value effects of accounting for biological assets and inventories, asset impairment and write-downs, and other non-cash items, and is a non-IFRS measure.
本新闻稿提及 “调整后的息税折旧摊销前利润”,这是一项非国际财务报告准则(“IFRS”)财务指标。调整后的息税折旧摊销前利润是衡量公司扣除利息、税项、折旧和摊销前的运营亏损的指标,并根据基于股份的薪酬、为服务而发行的普通股、生物资产和存货会计的公允价值影响、资产减值和减记以及其他非现金项目进行了调整,是一项非国际财务报告准则衡量标准。
This measure can be used to analyze and compare profitability among companies and industries, as it eliminates the effects of financing and capital expenditures. It is often used in valuation ratios and can be compared to enterprise value and revenue. This measure does not have any standardized meaning according to IFRS and, therefore, may not be comparable to similar measures presented by other companies.
该衡量标准可以用来分析和比较公司和行业之间的盈利能力,因为它消除了融资和资本支出的影响。它通常用于估值比率,可以与企业价值和收入进行比较。根据国际财务报告准则,该衡量标准没有任何标准化含义,因此可能无法与其他公司提出的类似衡量标准相提并论。
There are no comparable IFRS financial measures presented in Delivra Health's financial statements. Reconciliations of the supplemental non-IFRS measure are presented in the Company's management discussion and analysis for the three months ended September 30, 2024 (the "Q1 2025 MD&A"). This non-IFRS financial measure is presented because management has evaluated the financial results both including and excluding the adjusted items and believes that the non-IFRS financial measure presented provides additional perspective and insights when analyzing the core operating performance of the business. The Company believes that the supplemental measure provides information which is useful to shareholders and investors in understanding the Company's performance and may assist in the evaluation of the Company's business relative to that of its peers.
Delivra Health的财务报表中没有列出可比的国际财务报告准则财务指标。补充非国际财务报告准则指标的对账情况载于公司截至2024年9月30日的三个月(“2025年第一季度MD&A”)的管理层讨论和分析。之所以提出这项非国际财务报告准则财务指标,是因为管理层评估了包括和不包括调整后项目的财务业绩,并认为所提出的非国际财务报告准则财务指标在分析业务的核心经营业绩时提供了更多的视角和见解。公司认为,补充衡量标准提供的信息有助于股东和投资者了解公司的业绩,并可能有助于评估公司相对于同行的业务。
The non-IFRS financial measure should not be considered superior to, as a substitute for, or as an alternative to, and should be considered in conjunction with the IFRS financial measures presented in the Company's financial statements. For more information, please see "Adjusted EBITDA (non-IFRS measure)" and "Non-IFRS Measures" in the Q1 2025 MD&A, which is available under the Company's SEDAR+ profile on .
不应将非国际财务报告准则财务指标视为优于、替代或替代公司财务报表中列报的国际财务报告准则财务指标,应将其与之结合考虑。欲了解更多信息,请参阅2025年第一季度MD&A中的 “调整后的息税折旧摊销前利润(非国际财务报告准则指标)” 和 “非国际财务报告准则指标”,可在公司的SEDAR+简介下查阅。
Notes:
注意事项:
- This is a non-IFRS reporting measure. For a reconciliation of this measure to the nearest IFRS measure, see "Adjusted EBITDA (non-IFRS measure)" and "Non-IFRS Measures" in the Q1 2025 MD&A.
- 这是一项非国际财务报告准则的报告指标。有关该指标与最接近的国际财务报告准则指标的对账,请参阅2025年第一季度MD&A中的 “调整后的息税折旧摊销前利润(非国际财务报告准则指标)” 和 “非国际财务报告准则指标”。
Cautionary Note Regarding Forward-Looking Statements
关于前瞻性陈述的警示说明
This news release contains "forward-looking information" and "forward-looking statements" (collectively, "forward-looking statements") within the meaning of the applicable Canadian securities legislation. All statements, other than statements of historical fact, are forward-looking statements and are based on expectations, estimates, and projections as at the date of this news release. Any statement that involves discussions with respect to predictions, expectations, beliefs, plans, projections, objectives, assumptions, future events or performance (often but not always using phrases such as "expects", or "does not expect", "is expected", "anticipates" or "does not anticipate", "plans", "budget", "scheduled", "forecasts", "estimates", "believes" or "intends" or variations of such words and phrases or stating that certain actions, events or results "may" or "could", "would", "might" or "will" be taken to occur or be achieved) are not statements of historical fact and may be forward-looking statements. In this news release, forward-looking statements include, among other things, statements with respect to the Company's products offering relief from chronic pain, anxiety, and sleeplessness, impacts of the Company's latest marketing campaigns, expectations regarding increases in the Company's revenues and profitability, the Company's growth objectives, growth in new markets, and new distribution channels.
本新闻稿包含适用的加拿大证券立法所指的 “前瞻性信息” 和 “前瞻性陈述”(统称为 “前瞻性陈述”)。除历史事实陈述外,所有陈述均为前瞻性陈述,基于截至本新闻发布之日的预期、估计和预测。任何涉及对预测、期望、信念、计划、预测、目标、假设、未来事件或绩效的讨论的陈述(通常但并非总是使用 “期望”、“不期望”、“预期” 或 “不预期”、“计划”、“预算”、“预算”、“预期”、“预测”、“估计”、“相信” 或 “打算” 等词语或此类词语的变体)以及短语或陈述 “可能” 或 “可能”、“将”、“可能” 或 “将” 发生或实现的某些行动、事件或结果)不是陈述历史事实,可能是前瞻性陈述。在本新闻稿中,前瞻性陈述除其他外包括有关公司缓解慢性疼痛、焦虑和失眠的产品的陈述,公司最新营销活动的影响,对公司收入和盈利能力增长的预期,公司的增长目标,新市场的增长以及新的分销渠道。
These forward-looking statements are based on reasonable assumptions and estimates of management of the Company at the time such statements were made. Actual future results may differ materially as forward-looking statements involve known and unknown risks, uncertainties, and other factors which may cause the actual results, performance, or achievements of the Company to materially differ from any future results, performance, or achievements expressed or implied by such forward-looking statements. Such factors, among other things, include: fluctuations in general macroeconomic conditions; fluctuations in securities markets; expectations regarding the size of the cannabis markets where the Company operates; changing consumer habits; the ability of the Company to successfully achieve its business objectives; plans for expansion; political and social uncertainties; inability to obtain adequate insurance to cover risks and hazards; employee relations and the presence of laws and regulations that may impose restrictions on cultivation, production, distribution, and sale of cannabis and cannabis-related products in the markets where the Company operates. Although the forward-looking statements contained in this news release are based upon what management of the Company believes, or believed at the time, to be reasonable assumptions, the Company cannot assure shareholders that actual results will be consistent with such forward-looking statements, as there may be other factors that cause results not to be as anticipated, estimated or intended. Readers should not place undue reliance on the forward-looking statements and information contained in this news release. The Company assumes no obligation to update the forward-looking statements of beliefs, opinions, projections, or other factors, should they change, except as required by law.
这些前瞻性陈述基于发表此类陈述时公司管理层的合理假设和估计。未来的实际业绩可能存在重大差异,因为前瞻性陈述涉及已知和未知的风险、不确定性和其他因素,这些因素可能导致公司的实际业绩、业绩或成就与此类前瞻性陈述所表达或暗示的任何未来业绩、业绩或成就存在重大差异。除其他外,这些因素包括:总体宏观经济状况的波动;证券市场的波动;对公司经营的大麻市场规模的预期;消费者习惯的改变;公司成功实现业务目标的能力;扩张计划;政治和社会不确定性;无法获得足够的保险来承保风险和危害;员工关系以及可能限制种植、生产、分销的法律法规的存在,以及在公司经营的市场上销售大麻和大麻相关产品。尽管本新闻稿中包含的前瞻性陈述基于公司管理层认为或当时认为的合理假设,但公司无法向股东保证实际业绩将与此类前瞻性陈述一致,因为可能还有其他因素导致业绩不如预期、估计或预期。读者不应过分依赖本新闻稿中包含的前瞻性陈述和信息。除非法律要求,否则公司没有义务在信念、观点、预测或其他因素发生变化时更新前瞻性陈述。
Additional information regarding this and other risks and uncertainties relating to the Company's business are contained under the heading "Risk Factors" in the Company's annual information form dated March 2, 2021, and under the heading "Risks and Uncertainties" in the Q1 2025 MD&A filed under the Company's profile on SEDAR+ at .
有关该风险以及与公司业务相关的其他风险和不确定性的其他信息包含在公司2021年3月2日的年度信息表中 “风险因素” 标题下,以及在公司在SEDAR+的简介下提交的2025年第一季度MD&A标题下的 “风险和不确定性” 标题下,网址为。
Neither TSX-V nor its Regulation Services Provider (as that term is defined in the policies of the TSX-V) accept responsibility for the adequacy or accuracy of this release.
多伦多证券交易所及其监管服务提供商(该术语在多伦多证券交易所的政策中定义)均不对本新闻稿的充分性或准确性承担责任。
Investor Relations:
Jack Tasse
Chief Financial Officer
IR@delivrahealth.com
1-877-915-7934
投资者关系:
杰克·塔斯
首席财务官
IR@delivrahealth.com
1-877-915-7934