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Nickel 28 Files Fiscal Q3 2025 Financial Statements

Nickel 28 Files Fiscal Q3 2025 Financial Statements

镍28提交了2025财政第三季度基本报表
newsfile ·  2024/12/18 20:00

Toronto, Ontario--(Newsfile Corp. - December 18, 2024) - Nickel 28 Capital Corp. (TSXV: NKL) (FSE: 3JC0) ("Nickel 28" or the "Company") has released its results for the quarter ended October 31, 2024. All figures are expressed in United States dollars, unless otherwise indicated.

多伦多,安大略省--(新闻稿 CORP - 2024年12月18日)- Nickel 28 Capital Corp. (TSXV:NKL)(FSE:3JC0)(“Nickel 28”或“公司”)公布了截至2024年10月31日的季度业绩。除非另有说明,所有数字均以美元表示。

Quarterly Highlights

季度亮点

The Company's principal asset, its 8.56% joint-venture interest in the Ramu Nickel-Cobalt integrated operation in Papua New Guinea ("Ramu"), had another strong quarter. Highlights from Ramu and the Company during the quarter include:

公司的主要资产为其在巴布亚新几内亚(“Ramu”)的Ramu镍钴综合事件控件中的8.56%合资权益,该业务在本季度表现强劲。Ramu和公司在本季度的亮点包括:

  • Cash distribution from Ramu for H1 2024 of $4.0 million and repayment of $7.5 million of construction debt during the quarter, for a total distribution of $11.5 million.
  • Ramu在2024年上半年的现金分配为400万美金,并在本季度偿还了750万美金的施工债务,总分配金额为1150万美金。
  • Quarter end cash balance of US$9.3 million.
  • 季度末现金余额为930万美金。
  • Total non-recourse construction debt of US$38.2 million as at October 31, 2024.
  • 截至2024年10月31日,总无追索权施工债务为3820万美金。
  • Production of 6,880 tonnes of contained nickel and 634 tonnes of contained cobalt in mixed hydroxide precipitate ("MHP") during the third calendar quarter.
  • 在第三个日历季度生产了6880吨镍和634吨钴的混合氢氧化物沉淀物(“MHP”)。
  • Sales of 8,685 tonnes of contained nickel and 798 tonnes of contained cobalt in MHP during the third calendar quarter.
  • 在第三个日历季度销售了8685吨镍和798吨钴的MHP。
  • Actual cash costs for the third calendar quarter, net of by-product sales, of US$2.96/lb. of contained nickel.
  • 在第三个日历季度,扣除副产品销售后的实际现金成本为每磅2.96美元的含镍量。
  • Share of operating profit from Ramu of $3.7 million during the third calendar quarter.
  • 第三个日历季度,Ramu的营业利润为370万美元。
  • Total net and comprehensive income of US$2.0 million (US$0.02/share) for the three months ended October 31, 2024.
  • 截至2024年10月31日的三个月内,总净利润和综合收益为200万美元(每股0.02美元)。
  • Capital improvement project works completed during the quarter should result in an increase in ore throughput in the future.
  • 季度内完成的资本改善项目工作应会在未来增加矿石处理能力。
  • An investigation by internal Ramu staff and the Papua New Guinea Mineral Resource Authority into the fatality of an external contractor which occurred during these capital improvement projects is ongoing.
  • 关于在这些资本改善项目中发生的外部承包商的致命事故,Ramu内部员工和巴布亚新几内亚矿产资源管理局正在进行调查。
  • Subsequent to quarter-end, and independent of the completion of the capital improvement projects, one of the two acid plants at Ramu was shut down due to a mechanical failure of one of its blower fans. It is currently anticipated that the acid plant impacted will be non-operational until end of February 2025. During this period, Ramu intends to conduct preventive and predictive maintenance which would have occurred at a later date.
  • 在季度结束后,与资本改善项目的完成无关,Ramu的其中一个酸厂因其风机的机械故障而停机。目前预计受影响的酸厂将在2025年2月底之前非运营。在此期间,Ramu计划进行一些原本将在稍后进行的预防性和预测性维护。
  • The acid plant shutdown impact will reduce production capacity by approximately one-half during the impacted period. Although Ramu was on track to meet the 2024 annual guidance of 30,000 tonnes of nickel in MHP, due to the acid plant downtime, the Company now anticipates that annual production will be approximately 29,000 tonnes of nickel in MHP for calendar and fiscal 2025.
  • 酸厂停机的影响将在受影响期间减少约一半的生产能力。尽管Ramu原本预计能满足2024年30,000吨MHP镍的年度指导,由于酸厂停机,公司现在预计在2025年的日历年和财政年内的年产量将约为29,000吨MHP镍。
  • Operational guidance for the 2026 fiscal year will be provided by the Company subject to confirmation as to the timing of the restart of the second acid plant at Ramu. The Company currently anticipates that Ramu will operate at full ore throughput capacity when the second acid plant is fully operational.
  • 公司将在确认Ramu第二个酸厂再启动的时间后,提供2026财政年的运营指导。公司目前预计,当第二个酸厂全面投入运营时,Ramu将能够以全矿石处理能力运行。

Craig Lennon, the Company's incoming Chief Executive Officer stated: "During the quarter, Ramu distributed $11.5 million to the Company via a cash distribution of $4.0 million and a reduction of its non-recourse construction debt of $7.5 million from the Company's share of Ramu's H1 2024 operations. While the recent mechanical failure at the acid plant is disappointing, we are encouraged by the improved production results we were achieving after the completion of the capital improvement projects and look forward to Ramu's performance in 2025."

公司即将上任的首席执行官Craig Lennon表示:"在这个季度,Ramu通过400万的现金分配和减少750万的非追索权施工债务,向公司分配了1150万。这是公司在Ramu 2024年上半年的运营部分。尽管最近酸厂的机械故障令人失望,但我们对完成资本改善项目后所取得的生产成果感到鼓舞,并期待Ramu在2025年的表现。"

"The current nickel market remains highly competitive, over-supplied and with commodity prices remaining at cyclic lows, the Company continues to focus on cost and expense control. We hope to illustrate that discipline to the market over the coming quarters," stated Lennon.

"当前的镍市场竞争激烈,供应过剩,商品价格仍处于周期性低点,公司继续专注于成本和费用控制。我们希望在未来几个季度向市场展示这种纪律,"Lennon说道。

About Nickel 28

关于镍28

Nickel 28 Capital Corp. is a nickel-cobalt producer through its 8.56% joint-venture interest in the producing, long-life and world-class Ramu Nickel-Cobalt Operation located in Papua New Guinea. Ramu provides Nickel 28 with significant attributable nickel and cobalt production thereby offering our shareholders direct exposure to two metals which are critical to the adoption of electric vehicles. In addition, Nickel 28 manages a portfolio of 10 nickel and cobalt royalties on development and exploration projects in Canada, Australia and Papua New Guinea.

Nickel 28 Capital Corp.是镍钴生产商,拥有8.56%的合资权益,参与全球一流的拉姆镍钴运营,该项目位于巴布亚新几内亚。Ramu为Nickel 28提供了可观的镍和钴的生产,因此使我们的股东直接暴露于两个对新能源汽车采用至关重要的金属。此外,Nickel 28管理着10个镍和钴的特许权,涵盖加拿大、澳洲和巴布亚新几内亚的开发和勘探项目。

Cautionary Note Regarding Forward-Looking Statements

关于前瞻性声明的警示说明

This news release contains certain information which constitutes 'forward-looking statements' and 'forward-looking information' within the meaning of applicable Canadian securities laws. Any statements that are contained in this news release that are not statements of historical fact may be deemed to be forward-looking statements. Forward-looking statements are often identified by terms such as "may", "should", "anticipate", "expect", "potential", "believe", "intend" or the negative of these terms and similar expressions. Forward-looking statements in this news release include, but are not limited to: statements and figures with respect to the operational and financial results of the Ramu project; statements related to the repayment of the Company's Ramu operating debt; statements related to the Company's attributable cash flow; statements related to the impact of the capital improvement projects at Ramu; statements related to the acid plant shutdown at Ramu, their impact on production and the anticipated timing for restart; statements related to future production guidance; and statements with respect to the business and assets of the Company and its strategy going forward. Readers are cautioned not to place undue reliance on forward-looking statements. Forward-looking statements involve known and unknown risks and uncertainties, most of which are beyond the Company's control. Should one or more of the risks or uncertainties underlying these forward-looking statements materialize, or should assumptions underlying the forward-looking statements prove incorrect, actual results, performance or achievements could vary materially from those expressed or implied by the forward-looking statements.

本新闻稿包含某些信息,这些信息构成了适用的加拿大证券法中所说的"前瞻性声明"和"前瞻性信息"。任何不属于历史事实的声明均可被视为前瞻性声明。前瞻性声明通常通过"可能"、"应该"、"预期"、"期望"、"潜在"、"相信"、"打算"或这些术语的否定形式及类似表达来识别。此新闻稿中的前瞻性声明包括但不限于:有关Ramu项目的运营和财务结果的声明和数据;关于公司Ramu运营债务偿还的相关声明;关于公司的可归属现金流的声明;关于Ramu资本改善项目影响的声明;关于Ramu酸厂停工的声明,其对生产的影响以及预计重启的时间;关于未来生产指导的声明;以及关于公司业务和资产及其未来策略的声明。提醒读者不要对此类前瞻性声明过于依赖。前瞻性声明涉及已知和未知的风险和不确定性,其中大部分超出公司的控制。如果一种或多种潜在的风险或不确定性发生,或假设不成立,实际结果、表现或成就可能与前瞻性声明中所表达或暗示的情况有重大差异。

The forward-looking statements contained herein are made as of the date of this release and, other than as required by applicable securities laws, the Company does not assume any obligation to update or revise them to reflect new events or circumstances. The forward-looking statements contained in this release are expressly qualified by this cautionary statement.

本声明中包含的前瞻性声明自本发布之日起生效,除非适用证券法要求,否则公司不承担任何更新或修订其内容以反映新事件或情况的义务。本发布中的前瞻性声明均以本警示声明为明确限定。

Neither the 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. No securities regulatory authority has either approved or disapproved of the contents of this news release.

无论是TSX创业公司交易所还是其监管服务提供者(如TSX创业公司交易所政策中定义的术语)均不对本公告的充分性或准确性承担责任。没有证券监管机构已批准或拒绝本资讯公告的内容。

Investor Relations Contact Information:

投资者关系联系方式:

Nickel 28 Investor Relation Inquiries
Attn: Brett A. Richards – Advisor
T. +1 905 449 1500
E.
brett@brettrichards.org

镍28投资者关系咨询
收件人:Brett A. Richards – 顾问
电话: +1 905 449 1500
邮箱:brett@brettrichards.org

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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