Memex Inc. Reports Q3-2023 Results
Memex Inc. Reports Q3-2023 Results
BURLINGTON, ON / ACCESSWIRE / August 10, 2023 / Memex Inc. ("Memex" or the "Company") (TSX-V:OEE), a leader in Industrial Internet of Things (IIoT) manufacturing productivity software, today released financial and operational highlights for its third quarter ending June 30, 2023. All results are reported in Canadian dollars. A complete set of its June 30, 2023 Condensed Interim Consolidated Financial Statements and Management's Discussion & Analysis has been filed at .
伯靈頓,on/ACCESSWIRE/2023年8月10日/工業物聯網(IIoT)製造生產力軟體的領先企業Memex Inc.(以下簡稱Memex或公司)(多倫多證券交易所股票代碼:OEE)今天發佈了截至2023年6月30日的第三季度財務和運營重點。所有結果都以加元報告。一套完整的2023年6月30日簡明中期合併財務報表和管理層的討論與分析已提交至。
Summary financial highlights for the three-months ended June 30, 2023:
年度財務摘要三個月截至2023年6月30日:
- Revenue of $542 thousand versus $659 thousand in the year-ago quarter, an 18% decrease;
- Bookings i for the three-month period totalled $311 thousand versus $418 thousand in the year ago quarter, a 26% decrease;
- Finished the quarter with $500 thousand in project backlog ii , down13% from September 30, 2022;
- Gross margin was 83.0% for the period compared to 79.3% for the year-ago period;
- Cash generated from operations (before changes in non-cash items) of $76 thousand was $4 thousand lower than the year-ago period;
- Income from operations of $57 thousand versus $55 thousand in the year-ago period represents a 4% improvement;
- Net and comprehensive income of $28 thousand ($0.000 per share) was a $5 thousand improvement from the same period a year ago; and
- $201 thousand working capital deficit (after excluding unearned revenue) at June 30, 2023 is $124 thousand less than the $77 thousand deficit at September 30, 2022; cash on hand of $65 thousand is down 78% from the $290 thousand on hand at September 30, 2022. More than $300 thousand in new and follow-on business generated since June 30th, including the accompanying deposits/remittances, have improved these reported working capital and cash positions since third quarter-end.
- 收入為542000美元,比去年同期的65.9萬美元下降了18%;
- 預訂我這三個月的總額為31.1萬美元,而去年同期為41.8萬美元,下降了26%;
- 本季度結束時有50萬美元的專案積壓II,較2022年9月30日下降13%;
- 這一時期的毛利率為83.0%,而去年同期為79.3%;
- 業務產生的現金(非現金專案變動前)為76000美元,比去年同期減少4000美元;
- 營業收入為57000美元,而去年同期為55000美元,增長了4%;
- 淨和綜合收益為2.8萬美元(每股0.000美元),比去年同期增加了5000美元;
- 截至2023年6月30日,營運資本赤字20.1萬美元(不包括非勞動收入),比2022年9月30日的7.7萬美元赤字減少12.4萬美元;手頭現金6.5萬美元,比2022年9月30日的29萬美元下降78%。自6月30日以來產生的超過30萬美元的新業務和後續業務,包括隨附的存款/匯款,自第三季度末以來改善了這些報告的營運資金和現金狀況。
Summary financial highlights for the nine -months ended June 30, 2023:
九個月的財務摘要-幾個月截至2023年6月30日:
- $1.57 million in revenue was a 4% decrease from the $1.63 million in the year ago period;
- Bookings i totalled $1.54 million versus $1.80 million in the same period a year ago, a 14% decrease;
- Gross margin was 79.8% compared to 74.8% for the year-ago period;
- Cash provided from operations (before changes in non-cash items) of $33 thousand was $281 thousand better than the $248 thousand consumed in the first nine months of fiscal 2022; and
- Net and comprehensive loss of $136 thousand ($0.001 per share) was $299 thousand ($0.003 per share) better than the $435 thousand net and comprehensive loss generated for the same period a year ago.
- 157萬美元的收入比去年同期的163萬美元下降了4%;
- 預訂我總額為154萬美元,而去年同期為180萬美元,下降了14%;
- 毛利率為79.8%,而去年同期為74.8%;
- 業務提供的現金(非現金專案變動前)為33000美元,比2022財政年度前9個月消耗的24.8萬美元高出28.1萬美元;
- 淨綜合虧損13.6萬美元(每股0.001美元),比去年同期的43.5萬美元淨綜合虧損29.9萬美元(每股0.003美元)有所改善。
As announced and formed last October, the special committee of independent directors (the "Special Committee") continues to explore and evaluate a broad range of strategic alternatives looking to accelerate the growth of the business. Among other things, this Special Committee's review has involved evaluation of the Company's strategic direction, operations, market valuation and capital structure.
正如去年10月宣佈並成立的那樣,獨立董事特別委員會(“特別委員會”)繼續探索和評估一系列旨在加快業務增長的戰略選擇。除其他事項外,本次特別委員會的審查涉及對公司的戰略方向、運營、市場估值和資本結構的評估。
Selected financial information:
精選財務資訊:
For the |
Three-months periods ended
June 30
|
Nine-months periods ended
June 30
|
||||||||||||||||||||||
(Canadian dollars - in thousands except per share and margin%) | 2023 | 2022 | Change | 2023 | 2022 | Change | ||||||||||||||||||
Revenue | 542 | 659 | - 18 | % | 1,570 | 1,633 | - 4 | % | ||||||||||||||||
Bookings i | 311 | 418 | - 26 | % | 1,541 | 1,801 | - 14 | % | ||||||||||||||||
Gross margin % | 83.0 | % | 79.3 | % | + 5 | % | 79.8 | % | 74.8 | % | + 7 | % | ||||||||||||
Operating expenses | 393 | 468 | - 16 | % | 1,301 | 1,553 | - 16 | % | ||||||||||||||||
Cash provided (utilized) in operations 1 | 76 | 80 | - 5 | % | 33 | (248 | ) | + 113 | % | |||||||||||||||
Net & comprehensive income (loss) - period | 28 | 23 | + 22 | % | (136 | ) | (435 | ) | + 69 | % | ||||||||||||||
Basic & diluted income (loss)/share - period | 0.000 | 0.000 | (0.001 | ) | (0.003 | ) |
對於 |
三個月期間已結束
6月30日
|
九個月期間已結束
6月30日
|
||||||||||||||||||||||
(加元-千元,每股和利潤率%除外) | 2023年年 | 2022 | 變化 | 2023年年 | 2022 | 變化 | ||||||||||||||||||
收入 | 542 | 659 | -18 | 百分比 | 1,570 | 1,633 | -4 | 百分比 | ||||||||||||||||
預訂量I | 三一一 | 四百一十八 | -26 | 百分比 | 1541 | 1,801 | -14 | 百分比 | ||||||||||||||||
毛利率% | 83.0 | 百分比 | 79.3 | 百分比 | +5 | 百分比 | 79.8 | 百分比 | 74.8 | 百分比 | +7 | 百分比 | ||||||||||||
運營費用 | 393 | 468 | -16 | 百分比 | 1301 | 1,553 | -16 | 百分比 | ||||||||||||||||
業務1中提供(使用)的現金 | 76 | 80 | -5 | 百分比 | 33 | (248) | ) | +113 | 百分比 | |||||||||||||||
淨收益和綜合收益(虧損)-期間 | 28 | 23個 | +22 | 百分比 | (136) | ) | (435) | ) | +69 | 百分比 | ||||||||||||||
基本及攤薄收益(虧損)/股票期 | 0.000 | 0.000 | (0.001) | ) | (0.003) | ) |
- Before changes in non-cash working capital balances.
- 未計非現金周轉資金餘額變動。
As at | June 30 | September 30 | ||||||
(Canadian dollars - in thousands except WC ratio) |
2023 | 2022 | ||||||
Cash on hand |
65 | 290 | ||||||
Current assets |
433 | 586 | ||||||
Total assets |
648 | 894 | ||||||
Current liabilities |
1,395 | 1,519 | ||||||
Working capital* (excl. unearned rev) |
(201 | ) | (77 | ) | ||||
Working capital ratio **
|
0.68 to 1 | 0.88 to 1 | ||||||
Backlog ii
|
500 | 577 |
截至 | 6月30日 | 9月30日 | ||||||
(加元-除WC比率外,以千計) |
2023年年 | 2022 | ||||||
手頭現金 |
65 | 二百九十 | ||||||
流動資產 |
四百三十三 | 586 | ||||||
總資產 |
六百四十八 | 894 | ||||||
流動負債 |
1395 | 1,519 | ||||||
營運資金*(不包括不勞而獲的版本) |
(201) | ) | (77 | ) | ||||
營運資本比率**
|
0.68比1 | 0.88比1 | ||||||
積壓II
|
500人 | 577 |
* Working Capital = current assets - current liabilities less unearned rev
** Working Capital ratio = current assets / current liabilities less unearned rev
*營運資本=流動資產-流動負債減去未賺取的版本
**營運資本比率=流動資產/流動負債減去未賺取版本
About Memex Inc.:
關於Memex Inc.:
Established in 1992, Memex grew to be an industry leader in Industry Internet of Things (IIoT) through the development of MERLIN Tempus, an award-winning platform that delivers real-time, tangible increases in manufacturing productivity. Memex is on the leading edge of industry trends in computing power, machine connectivity, industry standards, advanced software technology, and manufacturing domain expertise.
Memex成立於1992年,通過Merlin Tempus的開發成長為工業物聯網(IIoT)行業的領先者,Merlin Tempus是一個獲獎平臺,可即時、切實地提高製造業生產率。Memex在計算能力、機器連接、行業標準、先進軟體技術和製造領域專業知識方面處於行業趨勢的前沿。
Our persistent pursuit of innovative IIoT solutions led to a comprehensive understanding of the challenge's manufacturers face. We made it our mission to, "successfully transform factories of today into factories of the future." As the global leader in Machine to Machine (M2M) connectivity solutions, our hardware and software products create unparalleled visibility at all levels, from "Shop-Floor-to-Top-Floor."
我們對創新的IIoT解決方案的不懈追求使我們全面瞭解了製造商面臨的挑戰。我們的使命是“成功地把今天的工廠改造成未來的工廠”。作為機器到機器(M2M)連接解決方案的全球領先者,我們的硬體和軟體產品在從車間到頂層的各個層面都創造了無與倫比的可見性。
The MERLIN Tempus Suite provides effective quantification and management of Overall Equipment Effectiveness (OEE) by revealing hidden capacity using real-time objective data. Further, it offers sustainable benefits that enable world-class OEE such as reducing costs, incorporating strategies for continuous LEAN improvement, and boosting bottom-line financial performance. For more information, please visit:
Merlin Tempus Suite通過使用即時客觀數據揭示隱藏容量,提供對整體裝備效能(OEE)的有效量化和管理。此外,它還提供可持續的好處,以實現世界級的OEE,例如降低成本,納入持續精益改進的戰略,並提高底線財務業績。如需更多資訊,請訪問:
For investor inquiries please contact:
如有投資者查詢,請聯繫:
Ed Crymble, Chief Financial Officer |
David McPhail, President & CEO |
首席財務官埃德·克倫布爾 |
David·麥克菲爾,總裁兼首席執行官 |
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.
多倫多證券交易所創業板交易所及其監管服務提供商(該術語在多倫多證券交易所創業板政策中定義)均不對本新聞稿的充分性或準確性承擔責任。
i & ii These non-IFRS financial measures are identified, defined and reconciled to their closest IFRS measures, revenue and unearned revenue, within our Management's Discussion and Analysis for the periods ended June 30, 2023, and 2022, in the section "Other Financial Measures." That MD&A is available at under our company profile.
I和II這些非國際財務報告準則財務措施是在我們管理層關於截至2023年6月30日和2022年6月30日期間的討論和分析“其他財務措施”一節中確定、定義並與其最接近的國際財務報告準則衡量標準--收入和未賺取收入--進行核對的。該MD&A可在我們公司簡介下獲得。
SOURCE: Memex Inc.
資料來源:Memex Inc.