Kidoz Inc. Announces 2023 Total Revenue of $13,326,824
Kidoz Inc. Announces 2023 Total Revenue of $13,326,824
VANCOUVER, BC / ACCESSWIRE / April 25, 2024 / Kidoz Inc. (TSXV:KIDZ) (the "Company"), mobile AdTech developer and owner of the market-leading Kidoz Contextual Ad Network (), the Kidoz Publisher SDK and the Kidoz COPPA Privacy Shield, announced todayits audited financial results for the year ended December 31, 2023. All amounts are presented in United States dollars and are in accordance with United States Generally Accepted Accounting Principles.
不列顛哥倫比亞省溫哥華/ACCESSWIRE/2024年4月25日/移動廣告技術開發商兼市場領先的Kidoz Contextual Ad Network()、Kidoz Publisher SDK和Kidoz COPPA隱私盾的所有者Kidoz Inc.(多倫多證券交易所股票代碼:KIDZ)(“公司”)今天公佈了截至2023年12月31日止年度的經審計的財務業績。所有金額均以美元列報,符合美國公認會計原則。
Financial highlights from fiscal 2023 include:
2023 財年的財務亮點包括:
- Total Revenue of $13,326,824 a decrease of 12% over fiscal 2022 Total Revenue of $15,097,056
- Direct Ad Tech Advertising Revenue of $11,879,425 a decrease of 18% over Direct Ad Tech Advertising Revenue of $14,425,918 for fiscal 2022.
- Programmatic Ad Tech Advertising Revenue of $1,223,392, an increase of 239% over Programmatic Advertising Revenue of $361,394 for fiscal 2022.
- Sales and Marketing expenditure of $1,268,218, an increase of 22% from $1,039,713 in fiscal 2022
- Non-Capitalized R&D expenditures of $2,999,079, an increase of 20% from $2,496,877 in fiscal 2022.
- Net loss after tax of ($2,012,056), compared to a net loss after tax ($1,347,113) in fiscal 2022.
- Adjusted EBITDA of ($891,166) compared to Adjusted EBITDA of ($231,395) in fiscal 2022.
- Cash of $1,469,224 and working capital of $3,220,646 as at December 31, 2023, compared to cash of $2,363,530 and working capital of $4,147,176 as at December 31, 2022.
- Free Cash Flow as at December 31, 2023, of ($824,640) compared to Free Cash Flow of $433,745 as at December 31, 2022.
- 總收入爲13,326,824美元,比2022財年的總收入15,097,056美元下降了12%
- 直接廣告技術廣告收入爲11,879,425美元,比2022財年的直接廣告技術廣告收入14,425,918美元下降了18%。
- 程序化廣告技術廣告收入爲1,223,392美元,比2022財年的程序化廣告收入361,394美元增長了239%。
- 銷售和營銷支出爲1,268,218美元,較2022財年的1,039,713美元增長了22%
- 非資本化研發支出爲2,999,079美元,較2022財年的2,496,877美元增長了20%。
- 稅後淨虧損爲(2,012,056美元),而2022財年的稅後淨虧損(1,347,113美元)。
- 調整後的息稅折舊攤銷前利潤爲(891,166美元),而2022財年的調整後息稅折舊攤銷前利潤爲(231,395美元)。
- 截至2023年12月31日,現金爲1,469,224美元,營運資金爲3,220,646美元,而截至2022年12月31日,現金爲2,363,530美元,營運資金爲4,147,176美元。
- 截至2023年12月31日的自由現金流爲(824,640美元),而截至2022年12月31日的自由現金流爲433,745美元。
For full details of the Company's operations and financial results, please refer to the Securities and Exchange Commission website at www.sec.gov or the Kidoz Inc. corporate website at or the website.
有關公司運營和財務業績的完整詳情,請訪問美國證券交易委員會網站www.sec.gov或Kidoz Inc.公司網站 或網站。
"As the unprecedented digital advertising boom attributed to the end of the pandemic began to normalize in 2023, the ad tech industry faced a year of recalibration, with businesses adapting to post-pandemic consumer behaviors," stated Jason Williams, Kidoz CEO.
Kidoz首席執行官傑森·威廉姆斯表示:“隨着疫情結束帶來的前所未有的數字廣告熱潮在2023年開始正常化,廣告技術行業面臨着調整的一年,企業正在適應疫情後的消費者行爲。”
"Against this backdrop, the Kidoz contextual network for reaching kids and families on mobile devices continued to experience strong usage and continues to be adopted by new apps at a rapid pace. While mobile in-app media continues to have a strong place for brands reaching children, brands in the wider market have yet to enact full media strategies that include mobile gaming inventory. Tests are happening and plans are being built, but full scale buying by brands on mobile games has not started," continued Williams.
“在這種背景下,用於通過移動設備聯繫兒童和家庭的Kidoz情境網絡繼續獲得大量使用,並繼續快速被新應用程序所採用。儘管移動應用內媒體在品牌接觸兒童方面仍然佔據強勢地位,但更廣泛的市場中的品牌尚未制定包括移動遊戲庫存在內的全面媒體戰略。測試正在進行中,計劃正在制定中,但品牌尚未開始全面收購手機遊戲,” 威廉姆斯繼續說道。
"We believe that positive distortions in the overall advertising market in fiscal 2022 existed due to COVID and then started to return to normal in fiscal 2023. It is our opinion that the 2023 decrease in total revenue over fiscal 2022 is due to this overall weakness in the general advertising market and the loss of some campaigns from fiscal 2022 which did not renew in fiscal 2023. However, the strong increase in our programmatic advertising revenue due to our active promotion of this revenue stream, our new technologies, and the growing strong demand for programmatic advertising in the overall market, partially offset this decline."
“我們認爲,由於COVID,2022財年整體廣告市場出現了積極的扭曲,然後在2023財年開始恢復正常。我們認爲,2023年總收入比2022財年下降是由於總體廣告市場的整體疲軟以及2022財年以來一些未在2023財年延期的廣告活動的損失。但是,由於我們積極推廣這一收入來源,我們的新技術以及整個市場對程序化廣告的強勁需求不斷增長,我們的程序化廣告收入強勁增長在一定程度上抵消了這種下降。”
"Furthermore, while the focus of the Company continues to be in the development and expansion of the Kidoz Safe Ad Network, we expended considerable resources developing our technology to expand into new markets that include teens and families. These new technologies and processes continue to develop as do many conversations with leading brands who are interested in the power of mobile media given its strong performance metrics and ability to feature rich media creatives. The Company continued to invest throughout 2023, increasing its overall staff slightly to 43 at December 31, 2023, plus adding seven new sales partnerships throughout the world, in anticipation of a return to growth in 2024 and future years, as mobile digital advertising continues to develop."
“此外,儘管公司的重點仍然放在開發和擴大Kidoz Safe Ad Network上,但我們花費了大量資源開發我們的技術,以擴展到包括青少年和家庭在內的新市場。這些新技術和流程不斷髮展,與領先品牌的許多對話也在繼續發展,這些領先品牌對移動媒體的力量感興趣,因爲移動媒體的強大績效指標和展示富媒體創意的能力。該公司在2023年全年繼續投資,截至2023年12月31日,其員工總數略有增加至43人,並在全球增加了七個新的銷售合作伙伴關係,預計隨着移動數字廣告的持續發展,2024年及未來幾年將恢復增長。”
"Historically, large, kids focused brands reached consumers through traditional media channels utilizing television, radio, and print to communicate their messages. In the rapidly evolving landscape of digital advertising, Kidoz is at the forefront of transforming how major brands connect with their youngest audiences by enabling their message to reach their audience, contextually and safely via mobile digital devices."
“從歷史上看,以兒童爲中心的大型品牌通過傳統媒體渠道吸引消費者,利用電視、廣播和印刷來傳達他們的信息。在快速變化的數字廣告格局中,Kidoz站在改變主要品牌與年輕受衆建立聯繫方式的最前沿,通過移動數字設備使他們的信息能夠以情境和安全的方式傳達給受衆。”
"Additionally, 2023 continued to see expanded focus on legislative measures, in America and Europe, aiming to strengthen online child privacy which we believe will further propel Kidoz forward in terms of usage and media sales. We are pleased with the Company's performance throughout 2023 to help recover from the challenges earlier in the year," stated Jason Williams, Kidoz CEO. "Kidoz continues to make great strides in the advancement of our technology and innovation of our tools and processes which enables the Company to differentiate itself from the competition and capture a large share of the mobile brand and performance advertising market directed at kids and families."
“此外,2023年,美國和歐洲對立法措施的關注繼續擴大,旨在加強在線兒童隱私,我們認爲這將進一步推動Kidoz在使用和媒體銷售方面向前發展。Kidoz首席執行官傑森·威廉姆斯表示,我們對公司在2023年全年的表現感到滿意,這將有助於從今年早些時候的挑戰中恢復過來。“Kidoz在技術進步以及工具和流程創新方面繼續取得長足的進步,這使公司能夠在競爭中脫穎而出,並在針對兒童和家庭的移動品牌和績效廣告市場中佔據很大份額。”
"Management believes 2024 will be a strong year of growth for the Company," concluded Jason Williams, Kidoz CEO.
Kidoz首席執行官傑森·威廉姆斯總結說:“管理層認爲,2024年將是公司強勁增長的一年。”
The following tables present our unaudited consolidated quarterly results of operations for each of our last four quarters. This data has been derived from unaudited consolidated financial statements that have been prepared on the same basis as the annual audited consolidated financial statements and, in our opinion, include all normal recurring adjustments necessary for the fair presentation of such information. These unaudited quarterly results should be read in conjunction with our audited consolidated financial statements.
下表顯示了我們過去四個季度中每個季度未經審計的合併季度經營業績。這些數據來自未經審計的合併財務報表,這些報表是在與年度經審計的合併財務報表相同的基礎上編制的,我們認爲,包括公允列報此類信息所必需的所有正常經常性調整。這些未經審計的季度業績應與我們經審計的合併財務報表一起閱讀。
Three Months Ended | ||||||||||||||||
December 31, 2023 | September 30 2023 |
June 30
2023
|
March 31
2023
|
|||||||||||||
(Unaudited) | (Unaudited) | (Unaudited) | (Unaudited) | |||||||||||||
Revenue |
$ | 6,030,546 | $ | 2,808,354 | $ | 2,814,239 | $ | 1,673,685 | ||||||||
Cost of sales |
4,059,852 | 1,754,540 | 1,574,659 | 1,003,716 | ||||||||||||
Gross profit |
1,970,694 | 1,053,814 | 1,239,580 | 669,969 | ||||||||||||
Operating expenses and other income / (expenses) |
(1,522,994) | (1,565,244) | (1,553,484) | (1,540,377) | ||||||||||||
Provision for doubtful receivables |
(1,427) | (83,525) | - | - | ||||||||||||
Stock awareness program |
(3,996) | (29,567) | (55,820) | (56,917) | ||||||||||||
Depreciation and amortization |
(139,945) | (139,816) | (139,692) | (139,287) | ||||||||||||
Income (Loss) before income taxes |
302,332 | (764,338) | (509,416) | (1,066,612) | ||||||||||||
Income tax recovery (expense) |
25,978 | - | - | - | ||||||||||||
Income (Loss) after tax |
$ | 328,310 | (764,338) | (509,416) | (1,066,612) | |||||||||||
Basic and diluted Income (loss) per share |
$ | 0.00 | $ | (0.01) | $ | (0.00) | $ | (0.01) | ||||||||
Weighted average common shares, basic |
131,304,499 | 131,304,499 | 131,304,499 | 131,307,560 | ||||||||||||
Weighted average common shares, diluted |
131,304,499 | 131,304,499 | 131,304,499 | 131,307,560 |
三個月已結束 | ||||||||||||||||
2023年12月31日 | 2023 年 9 月 30 日 |
6 月 30 日
2023
|
3 月 31 日
2023
|
|||||||||||||
(未經審計) | (未經審計) | (未經審計) | (未經審計) | |||||||||||||
收入 |
$ | 6,030,546 | $ | 2,808,354 | $ | 2,814,239 | $ | 1,673,685 | ||||||||
銷售成本 |
4,059,852 | 1,754,540 | 1,574,659 | 1,003,716 | ||||||||||||
毛利 |
1,970,694 | 1,053,814 | 1,239,580 | 669,969 | ||||||||||||
運營費用和其他收入/(支出) |
(1,522,994) | (1,565,244) | (1,553,484) | (1,540,377) | ||||||||||||
可疑應收賬款準備金 |
(1,427) | (83,525) | - | - | ||||||||||||
股票宣傳計劃 |
(3,996) | (29,567) | (55,820) | (56,917) | ||||||||||||
折舊和攤銷 |
(139,945) | (139,816) | (139,692) | (139,287) | ||||||||||||
所得稅前收入(虧損) |
302,332 | (764,338) | (509,416) | (1,066,612) | ||||||||||||
所得稅回收(費用) |
25,978 | - | - | - | ||||||||||||
稅後收入(虧損) |
$ | 328,310 | (764,338) | (509,416) | (1,066,612) | |||||||||||
每股基本收益和攤薄收益(虧損) |
$ | 0.00 | $ | (0.01) | $ | (0.00) | $ | (0.01) | ||||||||
加權平均普通股,基本 |
131,304,499 | 131,304,499 | 131,304,499 | 131,307,560 | ||||||||||||
攤薄後的加權平均普通股 |
131,304,499 | 131,304,499 | 131,304,499 | 131,307,560 |
CAUTION REGARDING NON-GAAP FINANCIAL MEASURES
對非公認會計准則財務指標的謹慎態度
This press release refers to "Adjusted EBITDA" which is a non-GAAP financial measure that does not have a standardized meaning prescribed by GAAP. Adjusted EBITDA is not presented in accordance with, or as an alternative to, GAAP financial measures and may be different from non-GAAP measures used by other companies. These non-GAAP measures should not be considered a substitute for, or superior to, financial measures calculated in accordance with generally accepted accounting principles in the United States of America ("GAAP"). We encourage investors to review the GAAP financial measures included in the last Quarterly Form 6-K, including our unaudited consolidated financial statements, to aid in their analysis and understanding of our performance and in making comparisons.
本新聞稿提及 “調整後息稅折舊攤銷前利潤”,這是一項非公認會計准則財務指標,沒有GAAP規定的標準化含義。調整後的息稅折舊攤銷前利潤不是根據公認會計原則財務指標列報的,也不是作爲其替代方案列報的,可能與其他公司使用的非公認會計准則指標有所不同。這些非公認會計准則指標不應被視爲替代或優於根據美利堅合衆國公認會計原則(“GAAP”)計算的財務指標。我們鼓勵投資者查看上一份季度表格6-K中包含的GAAP財務指標,包括我們未經審計的合併財務報表,以幫助他們分析和理解我們的業績並進行比較。
We use Adjusted EBITDA internally to evaluate our performance and make financial and operational decisions that are presented in a manner that adjusts from their equivalent GAAP measures or that supplement the information provided by our GAAP measures. Adjusted EBITDA is defined by us as EBITDA (net income (loss) plus depreciation expense, amortization expense, interest, stock-based compensation and impairment of goodwill), further adjusted to exclude certain non-cash expenses and other adjustments. We use Adjusted EBITDA because we believe it more clearly highlights business trends that may not otherwise be apparent when relying solely on GAAP financial measures, since Adjusted EBITDA eliminates from our results specific financial items that have less bearing on our core operating performance.
我們在內部使用調整後的息稅折舊攤銷前利潤來評估我們的業績,並做出財務和運營決策,這些決策的列報方式與其等效的GAAP指標相比有所調整,或者補充了我們的GAAP指標提供的信息。調整後的息稅折舊攤銷前利潤被我們定義爲息稅折舊攤銷前利潤(淨收益(虧損)加上折舊費用、攤銷費用、利息、股票薪酬和商譽減值),進一步調整後不包括某些非現金支出和其他調整。我們之所以使用調整後的息稅折舊攤銷前利潤,是因爲我們認爲調整後的息稅折舊攤銷前利潤可以更清楚地凸顯出僅依賴公認會計原則財務指標時可能不太明顯的業務趨勢,因爲調整後的息稅折舊攤銷前利潤從我們的業績中排除了對我們核心經營業績影響較小的特定財務項目。
Our Adjusted EBITDA is reconciled as follows:
我們的調整後息稅折舊攤銷前利潤調整如下:
Twelve Months Ended December 31, 2023 | Twelve Months Ended December 31, 2022 | Three Months Ended December 31, 2023 | Three Months Ended December 31, 2022 | |||||||||||||
Net Income (loss) |
$ | (2,012,056) | $ | (1,347,113) | $ | 328,309 | $ | 419,380 | ||||||||
Less: |
||||||||||||||||
Depreciation and amortization |
558,740 | 557,267 | 139,945 | 139,525 | ||||||||||||
Interest and other income |
(1,049) | (185) | (6) | (7) | ||||||||||||
Stock awareness program |
74,112 | 36,191 | 18,371 | 9,857 | ||||||||||||
Stock-based compensation |
515,116 | 696,248 | 130,928 | 170,527 | ||||||||||||
Gain on derivative liability - warrants |
(51) | (23,314) | - | 34 | ||||||||||||
Income tax (recovery) expense |
(25,978) | (150,489) | (25,978) | (150,484) | ||||||||||||
Adjusted EBITDA |
$ | (891,166) | $ | (231,395) | $ | 591,569 | $ | 588,832 |
截至2023年12月31日的十二個月 | 截至2022年12月31日的十二個月 | 截至 2023 年 12 月 31 日的三個月 | 截至2022年12月31日的三個月 | |||||||||||||
淨收益(虧損) |
$ | (2,012,056) | $ | (1,347,113) | $ | 328,309 | $ | 419,380 | ||||||||
減去: |
||||||||||||||||
折舊和攤銷 |
558,740 | 557,267 | 139,945 | 139,525 | ||||||||||||
利息和其他收入 |
(1,049) | (185) | (6) | (7) | ||||||||||||
股票宣傳計劃 |
74,112 | 36,191 | 18,371 | 9,857 | ||||||||||||
基於股票的薪酬 |
515,116 | 696,248 | 130,928 | 170,527 | ||||||||||||
衍生負債收益——認股權證 |
(51) | (23,314) | - | 34 | ||||||||||||
所得稅(恢復)費用 |
(25,978) | (150,489) | (25,978) | (150,484) | ||||||||||||
調整後 EBITDA |
$ | (891,166) | $ | (231,395) | $ | 591,569 | $ | 588,832 |
For full details of the Company's operations and financial results, please refer to the Securities and Exchange Commission website at www.sec.gov or the Kidoz Inc. corporate website at or on the website.
有關公司運營和財務業績的完整詳情,請訪問美國證券交易委員會網站www.sec.gov或Kidoz Inc.公司網站 或在網站上。
About Kidoz Inc.
關於 Kidoz Inc.
Kidoz Inc. (TSXV:KIDZ) () mission is to keep children safe in the complex digital advertising ecosystem. Kidoz has built the leading COPPA & GDPR compliant contextual mobile advertising network that safely reaches hundreds of millions of kids, teens, and families every month. Google certified, and Apple approved, Kidoz provides an essential suite of advertising technology that unites brands, content publishers and families. Trusted by Mattel, LEGO, Disney, Kraft, and more, the Kidoz Contextual Ad Network helps the world's largest brands to safely reach and engage kids across thousands of mobile apps, websites and video channels. The Kidoz network does not use location or PII data tracking commonly used in digital advertising. Instead, Kidoz has developed advanced contextual targeting tools to enable brands to reach their ideal customers with complete brand safety. A focused AdTech solution provider, the Kidoz SDK and Kidoz COPPA Shield have become essential products in the digital advertising ecosystem.
Kidoz Inc.(多倫多證券交易所股票代碼:KIDZ)()的使命是確保兒童在複雜的數字廣告生態系統中的安全。Kidoz已經建立了領先的符合COPPA和GDPR的情境移動廣告網絡,該網絡每月可以安全地覆蓋數億兒童、青少年和家庭。Kidoz通過谷歌認證並獲得蘋果批准,提供了一套必不可少的廣告技術,將品牌、內容發佈商和家族團結在一起。Kidoz Contextual 廣告網絡深受美泰、樂高、迪士尼、卡夫等公司的信賴,可幫助全球最大的品牌通過數千個移動應用程序、網站和視頻頻道安全地接觸和吸引孩子。Kidoz 網絡不使用數字廣告中常用的位置或 PII 數據跟蹤。取而代之的是,Kidoz開發了先進的情境定位工具,使品牌能夠以完全的品牌安全性吸引其理想客戶。作爲專注的廣告技術解決方案提供商,Kidoz SDK和Kidoz COPPA Shield已成爲數字廣告生態系統中的必備產品。
Prado Inc. (), a separate but fully owned subsidiary of Kidoz Inc., is based on the Kidoz technology and provides a mobile SSP (Supply-side Platform), DSP (Demand-side Platform) and Ad Exchange platform to brand advertisers across a variety of industries. Employing a contextual targeting approach within the in-app universe, Prado can achieve high impact results for brand partners within this powerful media inventory.
Prado Inc. () 是Kidoz Inc. 的獨立但全資子公司,基於Kidoz技術,爲各行各業的品牌廣告商提供移動SSP(供應方平台)、DSP(需求方平台)和廣告交易平台。在應用內領域採用情境定位方法,普拉多可以在這個強大的媒體資源中爲品牌合作伙伴取得高影響力的結果。
The Private Securities Litigation Reform Act of 1995 provides a "safe harbor" for forward-looking statements. Certain information included in this press release (as well as information included in oral statements or other written statements made or to be made by the company) contains statements that are forward-looking, such as statements relating to anticipated future success of the company. Such forward-looking information involves important risks and uncertainties that could significantly affect anticipated results in the future and, accordingly, such results may differ materially from those expressed in any forward-looking statements made by or on behalf of the company. For a description of additional risks and uncertainties, please refer to the company's filings with the Securities and Exchange Commission. Specifically, readers should read the Company's Annual Report on Form 20-F, filed with the SEC and the Annual Financial Statements and Management Discussion & Analysis filed on SEDAR on April 25, 2024, and the prospectus filed under Rule 424(b) of the Securities Act on March 9, 2005 and the SB2 filed July 17, 2007, and the TSX Venture Exchange Listing Application for Common Shares filed on June 29, 2015 on SEDAR, for a more thorough discussion of the Company's financial position and results of operations, together with a detailed discussion of the risk factors involved in an investment in Kidoz Inc.
1995年的《私人證券訴訟改革法》爲前瞻性陳述提供了 “安全港”。本新聞稿中包含的某些信息(以及公司作出或將要作出的口頭陳述或其他書面陳述中包含的信息)包含前瞻性陳述,例如與公司未來預期成功相關的陳述。此類前瞻性信息涉及重要的風險和不確定性,可能會對未來的預期業績產生重大影響,因此,此類結果可能與公司或代表公司所作的任何前瞻性陳述中表達的結果存在重大差異。有關其他風險和不確定性的描述,請參閱公司向美國證券交易委員會提交的文件。具體而言,讀者應閱讀公司向美國證券交易委員會提交的20-F表年度報告和2024年4月25日在SEDAR上提交的年度財務報表和管理層討論與分析,以及根據2005年3月9日證券法第424(b)條和2007年7月17日提交的SB2提交的招股說明書,以及2015年6月29日在SEDAR上提交的多倫多證券交易所風險交易所普通股上市申請,以了解更多信息全面討論公司的財務狀況和經營業績,並詳細討論風險因素參與了對 Kidoz Inc. 的投資
For more information contact:
Henry Bromley
CFO
ir@kidoz.net
(888) 374-2163
欲了解更多信息,請聯繫:
亨利·布羅姆利
首席財務官
ir@kidoz.net
(888) 374-2163
SOURCE: KIDOZ Inc.
資料來源:KIDOZ Inc.