ParkerVision Reports 2023 Results
ParkerVision Reports 2023 Results
JACKSONVILLE, FL / ACCESSWIRE / March 21, 2024 / ParkerVision, Inc. (OTCQB:PRKR) ("ParkerVision"), a developer and marketer of technologies and products for wireless applications, today announced results for the year ended December 31, 2023.
佛羅里達州傑克遜維爾/ACCESSWIRE/2024年3月21日/無線應用技術和產品的開發商和營銷商ParkerVision, Inc.(OTCQB: PRKR)(“ParkerVision”)今天公佈了截至2023年12月31日的年度業績。
Year End 2023 Summary and Recent Developments
2023 年年終總結和最新動態
- Since 2021, the Company has resolved patent infringement actions filed in the Western District of Texas against four defendants through patent license and settlement agreements, including one agreement reached in 2023 for which the Company received $25 million in gross proceeds.
- The Company currently has active patent infringement cases in the Western District of Texas against MediaTek, Realtek, Texas Instruments, and NXP Semiconductors, as well as additional cases in the Western District of Texas against TCL and LGE that are currently stayed pending the outcome of the active cases.
- A jury trial is scheduled to begin in December 2024 in one of three active MediaTek cases with a jury trial in the first of two active Realtek cases scheduled to follow in January 2025.
- In November 2023, the U.S. Court of Appeals for the Federal Circuit ("CAFC") heard oral arguments in the Company's appeal from certain March 2022 Florida district court rulings dismissing the Company's long standing patent infringement case against Qualcomm. The CAFC's ruling is currently pending.
- Lewis H. Titterton joined the ParkerVision board of directors in June 2023.
- 自2021年以來,公司通過專利許可和和解協議解決了在德克薩斯州西區對四名被告提起的專利侵權訴訟,其中包括2023年達成的一項協議,該公司獲得了2500萬美元的總收益。
- 該公司目前正在德克薩斯州西區審理針對聯發科、瑞昱股份、德州儀器和恩智浦半導體的專利侵權案件,以及在德克薩斯州西區針對TCL和LGE的其他案件,這些案件目前仍待審理中。
- 聯發科三宗活躍案件之一的陪審團審判定於2024年12月開始,兩宗活躍的Realtek案件中的第一起案件的陪審團審判定於2025年1月開始。
- 2023年11月,美國聯邦巡迴上訴法院(“CAFC”)聽取了該公司對2022年3月佛羅里達州地方法院駁回該公司針對高通長期的專利侵權案件的某些裁決的上訴的口頭辯論。CAFC的裁決目前尚待裁決。
- Lewis H. Titterton 於 2023 年 6 月加入派克威視董事會。
Jeffrey Parker, Chairman and Chief Executive Officer, commented, "The patent licensing and settlement proceeds received in 2023 generated $9.5 million in net income with no tax impact due to our ability to use prior net operating loss carryforwards. These proceeds also enabled the repayment of a significant portion of the principal on our secured contingent debt, $5 million in new borrowings at a lower rate of return to continue to support our business, and a restructuring of the prior secured contingent debt agreements. We continue to pursue licensing arrangements with third parties, both with and without enforcement actions."
董事長兼首席執行官傑弗裏·帕克評論說:“由於我們能夠使用先前的淨營業虧損結轉,2023年獲得的專利許可和和解收益創造了950萬美元的淨收入,沒有稅收影響。這些收益還使我們能夠償還有擔保或有債務的很大一部分本金,以較低的回報率償還500萬美元的新借款以繼續支持我們的業務,並重組先前的有擔保或有債務協議。我們繼續尋求與第三方的許可安排,無論是否採取執法行動。”
Mr. Parker continued, "We are preparing for two scheduled patent enforcement jury trials, one in a little over eight months from now against MediaTek and a second one a month later against Realtek. We also expect a ruling from the CAFC in the near future regarding our appeal in one of our cases against Qualcomm where the district court dismissed the case without a jury trial. We remain confident in our ability to demonstrate to a jury of our peers that our patented wireless technologies are being used without our permission and look forward to having our day in court with each of the defendants."
帕克繼續說:“我們正在爲兩次預定的專利執法陪審團審判做準備,一次是在八個多月後對聯發科進行的,另一次是在一個月後對瑞昱進行的。我們還預計,CAFC將在不久的將來對我們在針對高通公司的一起案件中的上訴做出裁決,在該案中,地方法院未經陪審團審理就駁回了該案件。我們仍然相信,我們有能力向同行組成的陪審團證明我們的專利無線技術是在未經我們許可的情況下使用的,並期待着與每位被告一起出庭。”
Financial Results
財務業績
- Net income for 2023 was $9.5 million compared to a net loss of $9.8 million for 2022. Basic and diluted earnings per common share were $0.11 and $0.08 respectively for 2023, compared to basic and diluted loss per common share of $(0.13) in 2022.
- The $19.3 million increase in earnings from 2022 to 2023 is primarily the result of a $24.1 million increase in revenue resulting from our patent enforcement and licensing efforts, a $2.6 million decrease in the loss related to the change in fair value of our contingent payment obligations, offset by a $7.0 million increase in operating expenses.
- The increase in operating expenses from 2022 to 2023 is the result of a $9.6 million increase in contingent legal fees, offset by a $2.6 million decrease in share-based compensation expense.
- The $19.3 million increase in earnings from 2022 to 2023 is primarily the result of a $24.1 million increase in revenue resulting from our patent enforcement and licensing efforts, a $2.6 million decrease in the loss related to the change in fair value of our contingent payment obligations, offset by a $7.0 million increase in operating expenses.
- Our long-term liabilities decreased by $8.9 million in 2023 as a result of a $13.9 million repayment on our secured contingent payment obligation, offset by $5.0 million in new borrowings under that secured obligation. We also successfully extended the maturity dates of $1.2 million in convertible debt by at least two years.
- At December 31, 2023, we had $2.6 million in cash and cash equivalents and were able to reduce our accounts payable by 36%.
- 2023年的淨收入爲950萬美元,而2022年的淨虧損爲980萬美元。2023年普通股每股基本收益和攤薄後每股收益分別爲0.11美元和0.08美元,而2022年普通股每股基本虧損和攤薄後每股虧損爲0.13美元(0.13美元)。
- 從2022年到2023年,收益增加了1,930萬美元,這主要是由於我們的專利執法和許可工作使收入增加了2410萬美元,與我們的或有付款義務公允價值變動相關的損失減少了260萬美元,被運營費用增加的700萬美元所抵消。
- 從2022年到2023年,運營支出的增加是由於或有法律費用增加了960萬美元,被基於股份的薪酬支出減少的260萬美元所抵消。
- 從2022年到2023年,收益增加了1,930萬美元,這主要是由於我們的專利執法和許可工作使收入增加了2410萬美元,與我們的或有付款義務公允價值變動相關的損失減少了260萬美元,被運營費用增加的700萬美元所抵消。
- 由於我們償還了1,390萬美元的有擔保或有還款債務,我們的長期負債在2023年減少了890萬美元,被該有擔保債務下的500萬美元新借款所抵消。我們還成功地將120萬美元可轉換債務的到期日延長了至少兩年。
- 截至2023年12月31日,我們有260萬美元的現金和現金等價物,並得以將應付賬款減少36%。
About ParkerVision
關於 ParkerVision
ParkerVision, Inc. invents, develops and licenses cutting-edge, proprietary radio-frequency (RF) technologies that enable wireless solution providers to make and sell advanced wireless communication products. ParkerVision is engaged in a number of patent enforcement actions in the U.S. to protect patented rights that it believes are broadly infringed by others. For more information, please visit . (PRKR-I)
ParkerVision, Inc. 發明、開發和許可尖端的專有射頻 (RF) 技術,使無線解決方案提供商能夠製造和銷售先進的無線通信產品。ParkerVision在美國參與了多項專利執法行動,以保護其認爲受到他人廣泛侵犯的專利權。欲了解更多信息,請訪問。 (PRKR-I)
Safe Harbor Statement
安全港聲明
This press release contains forward-looking information. Readers are cautioned not to place undue reliance on any such forward-looking statements, each of which speaks only as of the date made. Such statements are subject to certain risks and uncertainties that are disclosed in the Company's SEC reports, including the Form 10-K for the year ended December 31, 2023. These risks and uncertainties could cause actual results to differ materially from those currently anticipated or projected.
本新聞稿包含前瞻性信息。提醒讀者不要過分依賴任何此類前瞻性陳述,每種陳述僅代表截至發佈之日。此類陳述受公司披露的某些風險和不確定性的影響's 美國證券交易委員會的報告,包括截至2023年12月31日止年度的10-K表格。這些風險和不確定性可能導致實際結果與目前預期或預測的結果存在重大差異。
Cindy French
Chief Financial Officer
ParkerVision, Inc
cfrench@parkervision.com
辛迪·法蘭西
首席財務官
ParkerVision, Inc
cfrench@parkervision.com
(TABLES FOLLOW)
(表見下文)
ParkerVision, Inc.
Balance Sheet Highlights
ParkerVision, Inc.
資產負債表亮點
December 31, | ||||||||
(in thousands) |
2023 | 2022 | ||||||
Cash and cash equivalents |
$ | 2,560 | $ | 109 | ||||
Prepaid expenses and other current assets |
95 | 274 | ||||||
Intangible assets, net |
1,055 | 1,359 | ||||||
Other noncurrent assets, net |
313 | 9 | ||||||
Total assets |
4,023 | 1,751 | ||||||
Current liabilities |
2,289 | 2,257 | ||||||
Contingent payment obligations |
37,020 | 45,797 | ||||||
Convertible notes |
3,893 | 3,913 | ||||||
Other long-term liabilities |
340 | 473 | ||||||
Shareholders??? deficit |
(39,519) | (50,689) | ||||||
Total liabilities and shareholders??? deficit |
$ | 4,023 | $ | 1,751 |
十二月三十一日 | ||||||||
(以千計) |
2023 | 2022 | ||||||
現金和現金等價物 |
$ | 2,560 | $ | 109 | ||||
預付費用和其他流動資產 |
95 | 274 | ||||||
無形資產,淨額 |
1,055 | 1,359 | ||||||
其他非流動資產,淨額 |
313 | 9 | ||||||
總資產 |
4,023 | 1,751 | ||||||
流動負債 |
2,289 | 2,257 | ||||||
或有付款義務 |
37,020 | 45,797 | ||||||
可轉換票據 |
3,893 | 3,913 | ||||||
其他長期負債 |
340 | 473 | ||||||
股東???赤字 |
(39,519) | (50,689) | ||||||
總負債和股東??赤字 |
$ | 4,023 | $ | 1,751 |
ParkerVision, Inc.
Summary Results of Operations
ParkerVision, Inc.
運營結果摘要
Year Ended | ||||||||
(in thousands, except per share amounts) |
December 31, | |||||||
2023 | 2022 | |||||||
Licensing revenue |
$ | 25,000 | $ | 925 | ||||
Cost of sales |
(227) | (10) | ||||||
Gross margin |
24,773 | 915 | ||||||
Selling, general and administrative expenses |
14,744 | 7,773 | ||||||
Total operating expenses |
14,744 | 7,773 | ||||||
Interest and other income |
58 | 103 | ||||||
Interest expense |
(424) | (324) | ||||||
Change in fair value of contingent payment obligations |
(148) | (2,734) | ||||||
Total interest and other |
(514) | (2,955) | ||||||
Net income (loss) |
$ | 9,515 | $ | (9,813) | ||||
Basic earnings (loss) per common share |
$ | 0.11 | $ | (0.13) | ||||
Diluted earnings (loss) per common share |
$ | 0.08 | $ | (0.13) | ||||
Weighted average shares outstanding - basic |
85,732 | 78,395 | ||||||
Weighted average shares outstanding - diluted |
119,888 | 78,395 |
年終了 | ||||||||
(以千計,每股金額除外) |
十二月三十一日 | |||||||
2023 | 2022 | |||||||
許可收入 |
$ | 25000 | $ | 925 | ||||
銷售成本 |
(227) | (10) | ||||||
毛利率 |
24,773 | 915 | ||||||
銷售、一般和管理費用 |
14,744 | 7,773 | ||||||
運營費用總額 |
14,744 | 7,773 | ||||||
利息和其他收入 |
58 | 103 | ||||||
利息支出 |
(424) | (324) | ||||||
或有付款債務公允價值的變動 |
(148) | (2,734) | ||||||
總利息和其他 |
(514) | (2,955) | ||||||
淨收益(虧損) |
$ | 9,515 | $ | (9,813) | ||||
普通股每股基本收益(虧損) |
$ | 0.11 | $ | (0.13) | ||||
普通股攤薄後每股收益(虧損) |
$ | 0.08 | $ | (0.13) | ||||
加權平均已發行股票——基本 |
85,732 | 78,395 | ||||||
加權平均已發行股票——攤薄 |
119,888 | 78,395 |
ParkerVision, Inc.
Summary of Cash Flows
ParkerVision, Inc.
現金流摘要
Year Ended | ||||||||
(in thousands) |
December 31, | |||||||
2023 | 2022 | |||||||
Net cash provided by (used in) operating activities |
$ | 10,791 | $ | (2,959) | ||||
Net cash used in investing activities |
(2) | (4) | ||||||
Net cash (used in) provided by financing activities |
(8,338) | 2,042 | ||||||
Net increase (decrease) in cash & cash equivalents |
2,451 | (921) | ||||||
Cash & cash equivalents - beginning of year |
109 | 1,030 | ||||||
Cash & cash equivalents - end of year |
$ | 2,560 | $ | 109 |
年終了 | ||||||||
(以千計) |
十二月三十一日 | |||||||
2023 | 2022 | |||||||
由(用於)經營活動提供的淨現金 |
$ | 10,791 | $ | (2,959) | ||||
用於投資活動的淨現金 |
(2) | (4) | ||||||
融資活動提供的(用於)淨現金 |
(8,338) | 2,042 | ||||||
現金及現金等價物的淨增加(減少) |
2,451 | (921) | ||||||
現金及現金等價物-年初 |
109 | 1,030 | ||||||
現金及現金等價物-年底 |
$ | 2,560 | $ | 109 |
SOURCE: ParkerVision, Inc.
來源:ParkerVision, Inc.