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Horizon Technology Finance Announces First Quarter 2024 Financial Results

Horizon Technology Finance Announces First Quarter 2024 Financial Results

地平線科技金融公佈2024年第一季度財務業績
Horizon Technology Finance ·  04/30 00:00

- First Quarter 2024 Net Investment Income per Share of $0.38; NAV per Share of $9.64 -

-2024年第一季度每股淨投資收益爲0.38美元;每股資產淨值爲9.64美元-

- Debt Portfolio Yield of 15.6% -

-債務投資組合收益率爲15.6%-

- HRZN Ends Quarter with Committed Backlog of $168 Million -

-HRZN在本季度末的承諾積壓量爲1.68億美元-

- Declares Regular Monthly Distributions Totaling $0.33 per Share through September 2024 -

-宣佈截至2024年9月的每月定期分紅總額爲每股0.33美元-

FARMINGTON, Conn.--(BUSINESS WIRE)--Apr. 30, 2024-- Horizon Technology Finance Corporation (NASDAQ: HRZN) ("Horizon" or the "Company"), an affiliate of Monroe Capital, and a leading specialty finance company that provides capital in the form of secured loans to venture capital-backed companies in the technology, life science, healthcare information and services, and sustainability industries, today announced its financial results for the first quarter ended March 31, 2024.

康涅狄格州法明頓--(美國商業資訊)--2024年4月30日--門羅資本的子公司Horizon Technology Finance Corporation(納斯達克股票代碼:HRZN)(“Horizon” 或 “公司”),一家領先的專業金融公司,以擔保貸款的形式向科技、生命科學、醫療保健信息和服務以及可持續發展行業的風險投資支持公司提供資金,今天公佈了截至2024年3月31日的第一季度財務業績。

First Quarter 2024 Highlights

2024 年第一季度亮點

  • Net investment income ("NII") of $12.6 million, or $0.38 per share, compared to $13.0 million, or $0.46 per share for the prior-year period
  • Total investment portfolio of $711.1 million as of March 31, 2024
  • Net asset value of $332.1 million, or $9.64 per share, as of March 31, 2024
  • Annualized portfolio yield on debt investments of 15.6% for the quarter
  • Horizon funded five loans totaling $33.5 million
  • Raised total net proceeds of approximately $12.0 million with "at-the-market" ("ATM") offering program
  • Experienced liquidity events from three portfolio companies
  • Cash of $71.3 million and credit facility capacity of $159.0 million as of March 31, 2024
  • Held portfolio of warrant and equity positions in 99 companies as of March 31, 2024
  • Undistributed spillover income of $1.30 per share as of March 31, 2024
  • Subsequent to quarter end, declared distributions of $0.11 per share payable in July, August and September 2024
  • 淨投資收益(“NII”)爲1,260萬美元,合每股0.38美元,而去年同期爲1,300萬美元,合每股0.46美元
  • 截至2024年3月31日,總投資組合爲7.111億美元
  • 截至2024年3月31日,淨資產價值爲3.321億美元,合每股9.64美元
  • 本季度債務投資的年化投資組合收益率爲15.6%
  • Horizon資助了五筆總額爲3,350萬
  • 通過 “上市”(“ATM”)發行計劃籌集了總淨收益約1,200萬美元
  • 來自三家投資組合公司的經驗豐富的流動性活動
  • 截至2024年3月31日,現金爲7,130萬美元,信貸額度爲1.590億美元
  • 截至2024年3月31日,持有99家公司的認股權證和股票頭寸投資組合
  • 截至2024年3月31日,每股未分配溢出收益爲1.30美元
  • 季度末之後,宣佈每股分配0.11美元,將於2024年7月、8月和9月支付

"During the first quarter, we were selective with respect to new originations in light of the challenging venture debt environment, while our investment portfolio continued to generate net investment income that exceeds our distributions," said Robert D. Pomeroy, Jr., Chairman and Chief Executive Officer of Horizon. "We also continued to work diligently toward maximizing outcomes for our stressed investments, as we maintained active relationships with all of our portfolio companies. Despite the challenges in the venture market, we believe there are positive market signs, including an increase in demand from quality companies. Accordingly, we seek to grow our portfolio, while we remain cautious with respect to new originations. As always, we will continue to focus on maximizing NAV."

Horizon董事長兼首席執行官小羅伯特·波默羅伊表示:“在第一季度,鑑於充滿挑戰的風險債務環境,我們在新發放方面採取了選擇性態度,而我們的投資組合產生的淨投資收益繼續超過我們的分配。”“在與所有投資組合公司保持積極關係的同時,我們還繼續努力使緊張的投資取得最大成果。儘管風險投資市場面臨挑戰,但我們認爲有積極的市場跡象,包括優質公司的需求增加。因此,我們尋求擴大我們的投資組合,同時我們對新發起的產品保持謹慎態度。與往常一樣,我們將繼續專注於實現資產淨值最大化。”

First Quarter 2024 Operating Results

2024 年第一季度經營業績

Total investment income for the quarter ended March 31, 2024 was $26.1 million, compared to $28.0 million for the quarter ended March 31, 2023, primarily due to lower interest income on investments from the debt investment portfolio.

截至2024年3月31日的季度總投資收入爲2610萬美元,而截至2023年3月31日的季度爲2,800萬美元,這主要是由於債務投資組合的投資利息收入減少。

The Company's dollar-weighted annualized yield on average debt investments for the quarter ended March 31, 2024 and 2023 was 15.6% and 16.3%, respectively. The Company calculates the dollar-weighted annualized yield on average debt investments for any period measured as (1) total investment income (excluding dividend income) during the period divided by (2) the average of the fair value of debt investments outstanding on (a) the last day of the calendar month immediately preceding the first day of the period and (b) the last day of each calendar month during the period. The dollar-weighted annualized yield on average debt investments is higher than what investors will realize because it does not reflect expenses or any sales load paid by investors.

截至2024年3月31日和2023年3月31日的季度,該公司的平均債務投資的美元加權年化收益率分別爲15.6%和16.3%。公司計算任何時期平均債務投資的美元加權年化收益率,其計算方法爲:(1)該期間的總投資收益(不包括股息收入)除以(2)(a)該期間第一天之前的日曆月最後一天和(b)該期間每個日曆月最後一天的未償債務投資的公允價值的平均值。平均債務投資的美元加權年化收益率高於投資者的預期收益,因爲它不反映投資者支付的費用或任何銷售負擔。

Total expenses for the quarter ended March 31, 2024 were $13.1 million, compared to $14.8 million for the quarter ended March 31, 2023. The decrease was primarily due to a $2.7 million decrease in performance-based incentive fees related to an Incentive Fee Cap for the three months ended March 31, 2024 due to the cumulative incentive fees paid exceeding 20% of cumulative pre-incentive fee net return during the applicable quarter and the 11 preceding full calendar quarters, and a $0.04 million decrease in the base management fee. The decrease was partially offset by a $1.0 million increase in interest expense.

截至2024年3月31日的季度的總支出爲1,310萬美元,而截至2023年3月31日的季度爲1,480萬美元。下降的主要原因是截至2024年3月31日的三個月,與激勵費上限相關的績效激勵費減少了270萬美元,這是由於在適用季度和前11個完整日曆季度支付的累計激勵費淨回報率超過累計激勵費淨回報率的20%,以及基礎管理費減少了4萬美元。利息支出增加的100萬美元部分抵消了這一減少。

Net investment income for the quarter ended March 31, 2024 was $12.6 million, or $0.38 per share, compared to $13.0 million, or $0.46 per share, for the quarter ended March 31, 2023.

截至2024年3月31日的季度淨投資收益爲1,260萬美元,合每股收益0.38美元,而截至2023年3月31日的季度爲1,300萬美元,合每股收益0.46美元。

For the quarter ended March 31, 2024, there was a slight net realized gain on investments, compared to net realized loss on investments of $0.2 million, or $0.01 per share, for the quarter ended March 31, 2023.

在截至2024年3月31日的季度中,投資的已實現淨收益略有增加,而截至2023年3月31日的季度的已實現投資淨虧損爲20萬美元,合每股虧損0.01美元。

For the quarter ended March 31, 2024, net unrealized depreciation on investments was $4.0 million, or $0.12 per share, compared to $7.5 million, or $0.26 per share, for the prior-year period.

截至2024年3月31日的季度,投資未實現折舊淨額爲400萬美元,合每股折舊0.12美元,而去年同期爲750萬美元,合每股折舊0.26美元。

Portfolio Summary and Investment Activity

投資組合摘要和投資活動

As of March 31, 2024, the Company's debt portfolio consisted of 54 secured loans with an aggregate fair value of $670.8 million. In addition, the Company's total warrant, equity and other investments in 103 portfolio companies had an aggregate fair value of $40.3 million. Total portfolio investment activity for the three months ended March 31, 2024 and 2023 was as follows:

截至2024年3月31日,該公司的債務投資組合包括54筆擔保貸款,總公允價值爲6.708億美元。此外,該公司對103家投資組合公司的認股權證、股權和其他投資總公允價值爲4,030萬美元。截至2024年3月31日和2023年3月31日的三個月,總投資組合活動如下:

($ in thousands)

For the Three Months Ended
March 31,

2024

2023

Beginning portfolio

$

709,085

$

720,026

New debt and equity investments

34,569

47,008

Less refinanced debt balances

(11,250)

Net new debt and equity investments

23,319

47,008

Principal payments received on investments

(10,500)

(6,815)

Payment-in-kind interest on investments

1,382

1,204

Early pay-offs and principal paydowns

(9,143)

(32,941)

Accretion of debt investment fees

1,261

1,448

New debt investment fees

(309)

(300)

Proceeds from sale of investments

(41)

(6,520)

Net gain (loss) on investments

8

(168)

Net unrealized depreciation on investments

(3,960)

(7,537)

Other

14

(93)

Ending portfolio

$

711,116

$

715,312

(以千美元計)

在已結束的三個月中
3月31日

2024

2023

初始投資組合

$

709,085

$

720,026

新的債務和股權投資

34,569

47,008

減少再融資的債務餘額

(11,250)

淨新增債務和股權投資

23,319

47,008

投資收到的本金

(10,500)

(6,815)

投資的實物支付利息

1,382

1,204

提前還款和本金支付

(9,143)

(32,941)

增加債務投資費用

1,261

1,448

新債投資費

(309)

(300)

出售投資的收益

(41)

(6,520)

投資淨收益(虧損)

8

(168)

未實現的投資淨折舊

(3,960)

(7,537)

其他

14

(93)

結束投資組合

$

711,116

$

715,312

Portfolio Asset Quality

投資組合資產質量

The following table shows the classification of Horizon's loan portfolio at fair value by internal credit rating as of March 31, 2024 and December 31, 2023:

下表顯示了截至2024年3月31日和2023年12月31日按內部信用評級對Horizon貸款組合的公允價值分類:

($ in thousands)

March 31, 2024

December 31, 2023

Number of
Investments

Debt Investments
at Fair Value

Percentage
of Debt
Investments

Number of
Investments

Debt Investments
at Fair Value

Percentage
of Debt
Investments

Credit Rating

4

13

$

197,989

%

11

$

150,367

%

3

36

407,237

%

39

452,911

%

2

1

14,546

%

2

39,343

%

1

4

51,001

%

4

27,551

%

Total

54

$

670,773

%

56

$

670,172

%

(以千美元計)

2024年3月31日

2023年12月31日

的數量
投資

債務投資
按公允價值計算

百分比
債務的
投資

的數量
投資

債務投資
按公允價值計算

百分比
債務的
投資

信用評級

4

13

$

197,989

%

11

$

150,367

%

3

36

407,237

%

39

452,911

%

2

1

14,546

%

2

39,343

%

1

4

51,001

%

4

27,551

%

總計

54

$

670,773

%

56

$

670,172

%

As of March 31, 2024 and December 31, 2023, Horizon's loan portfolio had a weighted average credit rating of 3.1, with 4 being the highest credit quality rating and 3 being the rating for a standard level of risk. A rating of 2 represents an increased level of risk and, while no loss is currently anticipated for a 2-rated loan, there is potential for future loss of principal. A rating of 1 represents deteriorating credit quality and high degree of risk of loss of principal.

截至2024年3月31日和2023年12月31日,Horizon的貸款組合的加權平均信用評級爲3.1,其中4是最高的信用質量評級,3是標準風險水平的評級。評級爲2表示風險水平升高,儘管目前預計2級貸款不會出現損失,但未來有可能出現本金損失。評級爲1表示信貸質量惡化和本金損失風險高。

As of March 31, 2024, there were four debt investments with an internal credit rating of 1, with an aggregate cost of $96.0 million and an aggregate fair value of $51.0 million. As of December 31, 2023, there were four debt investments with an internal credit rating of 1, with an aggregate cost of $72.5 million and an aggregate fair value of $27.6 million.

截至2024年3月31日,有四項債務投資的內部信用評級爲1,總成本爲9,600萬美元,總公允價值爲5,100萬美元。截至2023年12月31日,有四項債務投資的內部信用評級爲1,總成本爲7,250萬美元,總公允價值爲2760萬美元。

Liquidity and Capital Resources

流動性和資本資源

As of March 31, 2024, the Company had $90.7 million in available liquidity, consisting of $71.3 million in cash and money market funds, and $19.4 million in funds available under existing credit facility commitments.

截至2024年3月31日,公司擁有9,070萬美元的可用流動性,包括7,130萬美元的現金和貨幣市場基金以及現有信貸額度承諾下的1,940萬美元可用資金。

As of March 31, 2024, there was $60.0 million in outstanding principal balance under the $150.0 million revolving credit facility ("Key Facility"). The Key Facility allows for an increase in the total loan commitment up to an aggregate commitment of $300.0 million. There can be no assurance that any additional lenders will make any commitments under the Key Facility.

截至2024年3月31日,1.5億美元的循環信貸額度(“關鍵貸款”)下的未償本金餘額爲6,000萬美元。關鍵融資機制允許將貸款承諾總額增加到3億加元的總承付額。無法保證任何其他貸款機構會在關鍵融資機制下做出任何承諾。

Additionally, as of March 31, 2024, there was $181.0 million in outstanding principal balance under the $250 million senior secured debt facility with a large U.S.-based insurance company at an interest rate of 6.18%.

此外,截至2024年3月31日,一家總部位於美國的大型保險公司的2.5億美元優先有擔保債務融資下的未償本金餘額爲1.81億美元,利率爲6.18%。

Horizon Funding Trust 2022-1, a wholly-owned subsidiary of Horizon, previously issued $100.0 million of Asset-Backed Notes (the "2022 Notes") rated A by a ratings agency. The 2022 Notes bear interest at a fixed interest rate of 7.56% per annum. The reinvestment period of the 2022 Notes ends November 15, 2024 and the stated maturity is November 15, 2030. As of March 31, 2024, the 2022 Notes had an outstanding principal balance of $100.0 million.

Horizon的全資子公司Horizon Funding Trust 2022-1此前曾發行了被評級機構評爲A的1億美元資產支持票據(“2022年票據”)。2022年票據的利息爲每年7.56%的固定利率。2022年票據的再投資期於2024年11月15日結束,規定的到期日爲2030年11月15日。截至2024年3月31日,2022年票據的未償本金餘額爲1億美元。

During the three months ended March 31, 2024, the Company sold 1,053,796 shares of common stock under its ATM offering program with Goldman Sachs & Co. LLC and B. Riley FBR, Inc. For the same period, the Company received total accumulated net proceeds of approximately $12.0 million, including $0.3 million of offering expenses, from these sales.

在截至2024年3月31日的三個月中,公司根據與高盛公司的自動櫃員機發行計劃出售了1,053,796股普通股。LLC和B. Riley FBR, Inc. 同期,公司從這些銷售中獲得的累計淨收益總額約爲1,200萬美元,包括30萬美元的發行費用。

As of March 31, 2024, the Company's net debt to equity leverage ratio was 116%, below the Company's 120% targeted leverage. The asset coverage ratio for borrowed amounts was 173%.

截至2024年3月31日,該公司的淨負債與權益槓桿率爲116%,低於公司120%的目標槓桿率。借款金額的資產覆蓋率爲173%。

Liquidity Events

流動性事件

During the quarter ended March 31, 2024, Horizon experienced liquidity events from three portfolio companies. Liquidity events for Horizon may consist of the sale of warrants or equity in portfolio companies, loan prepayments, sale of owned assets or receipt of success fees.

在截至2024年3月31日的季度中,Horizon經歷了三家投資組合公司的流動性事件。Horizon的流動性事件可能包括出售投資組合公司的認股權證或股權、貸款預付、出售自有資產或收取成功費。

In February, with the proceeds of a new loan from the Horizon Platform, Ceribell, Inc. ("Ceribell") paid its outstanding principal balance of $11.2 million on its venture loan, plus interest and end-of-term payment. HRZN continues to hold warrants in Ceribell.

2月,Ceribell, Inc.(“Ceribell”)用Horizon Platform新貸款的收益支付了1,120萬美元的風險貸款未償本金餘額,外加利息和期末付款。HRZN繼續在塞裏貝爾持有認股權證。

In March, HRZN received a principal paydown of $1.1 million on its venture loans to NextCar Holding Company, Inc. ("NextCar"). HRZN continues to hold warrants in NextCar.

3月,HRZN向NextCar控股公司(“NextCar”)提供的風險貸款本金爲110萬美元。HRZN繼續持有NextCar的認股權證。

In March, Engage3, LLC paid its outstanding principal balance of $7.5 million on its venture loan, plus interest, end-of-term payment and prepayment fee.

3月,Engage3, LLC支付了750萬美元的風險貸款未償本金餘額,外加利息、期末還款和預付費。

Net Asset Value

資產淨值

At March 31, 2024, the Company's net assets were $332.1 million, or $9.64 per share, compared to $321.7 million, or $11.34 per share, as of March 31, 2023, and $324.0 million, or $9.71 per share, as of December 31, 2023.

截至2024年3月31日,該公司的淨資產爲3.321億美元,合每股9.64美元,而截至2023年3月31日,該公司的淨資產爲3.217億美元,合每股11.34美元,截至2023年12月31日,爲3.24億美元,合每股9.71美元。

For the quarter ended March 31, 2024, net increase in net assets resulting from operations was $8.7 million, or $0.26 per share, compared to $5.3 million, or $0.19 per share, for the quarter ended March 31, 2023.

截至2024年3月31日的季度,運營產生的淨資產淨增加870萬美元,合每股0.26美元,而截至2023年3月31日的季度爲530萬美元,合每股0.19美元。

Stock Repurchase Program

股票回購計劃

On April 26, 2024, the Company's board of directors extended the Company's previously authorized stock repurchase program until the earlier of June 30, 2025 or the repurchase of $5.0 million of the Company's common stock. During the quarter ended March 31, 2024, the Company did not repurchase any shares of its common stock. From the inception of the stock repurchase program through March 31, 2024, the Company has repurchased 167,465 shares of its common stock at an average price of $11.22 on the open market at a total cost of $1.9 million.

2024 年 4 月 26 日,公司董事會將公司先前批准的股票回購計劃延長至 2025 年 6 月 30 日或回購公司 500 萬美元普通股中較早者。在截至2024年3月31日的季度中,公司沒有回購任何普通股。從股票回購計劃啓動到2024年3月31日,該公司已在公開市場上以平均11.22美元的價格回購了167,465股普通股,總成本爲190萬美元。

Recent Developments

最近的事態發展

In April 2024, the Company sold 526,581 shares of common stock under the 2023 Equity Distribution Agreement. For the same period, the Company received total accumulated net proceeds of approximately $5.8 million, including $0.1 million of offering expenses, from these sales.

2024年4月,公司根據2023年股權分配協議出售了526,581股普通股。同期,公司從這些銷售中獲得的累計淨收益總額約爲580萬美元,其中包括10萬美元的發行費用。

On April 1, 2024, Provivi, Inc. ("Provivi") paid down $4.7 million of the principal amount of its loans outstanding and $0.3 million of its ETPs under the Venture Loan and Security Agreement by and among the Company and Provivi, dated as of June 15, 2020, as amended.

2024年4月1日,Provivi, Inc.(“Provivi”)根據截至2020年6月15日公司與Provivi之間簽訂的經修訂的風險貸款和擔保協議,償還了其未償貸款本金中的470萬美元和30萬美元的ETP。

On April 11, 2024, we funded a $0.5 million equity investment to an existing portfolio company, Better Place Forests Co.

2024年4月11日,我們向現有的投資組合公司Better Place Forests Co提供了50萬美元的股權投資。

On April 22, 2024, Camp NYC, Inc. paid down $1.0 million of the principal amount of its loan outstanding.

2024年4月22日,紐約營地公司償還了其未償貸款本金中的100萬美元。

Monthly Distributions Declared in Second Quarter 2024

2024 年第二季度公佈的月度分配

On April 26, 2024, the Company's board of directors declared monthly distributions of $0.11 per share payable in each of July, August and September 2024. The following tables show these monthly distributions, which total $0.33 per share:

2024 年 4 月 26 日,公司董事會宣佈,2024 年 7 月、8 月和 9 月的每月分配額爲每股 0.11 美元。下表顯示了這些月度分配,總額爲每股0.33美元:

Monthly Distributions

每月分配

Ex-Dividend Date

Record Date

Payment Date

Amount per Share

June 17, 2024

June 17, 2024

July 16, 2024

$0.11

July 17, 2024

July 17, 2024

August 15, 2024

$0.11

August 16, 2024

August 16, 2024

September 13, 2024

$0.11

Total:

$0.33

除息日

錄製日期

付款日期

每股金額

2024年6月17日

2024年6月17日

2024年7月16日

0.11 美元

2024年7月17日

2024年7月17日

2024年8月15日

0.11 美元

2024年8月16日

2024年8月16日

2024年9月13日

0.11 美元

總計:

0.33 美元

After paying distributions of $0.33 per share and earning net investment income of $0.38 per share for the quarter, the Company's undistributed spillover income as of March 31, 2024 was $1.30 per share. Spillover income includes any ordinary income and net capital gains from the preceding tax years that were not distributed during such tax years.

在支付了每股0.33美元的分紅和本季度每股0.38美元的淨投資收益之後,截至2024年3月31日,該公司的未分配溢出收益爲每股1.30美元。溢出收入包括前一個納稅年度中未分配的任何普通收入和淨資本收益。

When declaring distributions, Horizon's board of directors reviews estimates of taxable income available for distribution, which may differ from consolidated net income under generally accepted accounting principles due to (i) changes in unrealized appreciation and depreciation, (ii) temporary and permanent differences in income and expense recognition, and (iii) the amount of spillover income carried over from a given year for distribution in the following year. The final determination of taxable income for each tax year, as well as the tax attributes for distributions in such tax year, will be made after the close of the tax year.

在申報分配時,Horizon董事會審查可供分配的應納稅收入的估計,根據普遍接受的會計原則,該收入可能與合併淨收益有所不同,原因是(i)未實現增值和折舊的變化,(ii)收入和支出確認的暫時和永久差異,以及(iii)從給定年度結轉用於下一年分配的溢出收入金額。每個納稅年度的應納稅所得額以及該納稅年度的分配的稅收屬性將在納稅年度結束後最終確定。

Conference Call

電話會議

The Company will host a conference call on Wednesday, May 1, 2024, at 9:00 a.m. ET to discuss its latest corporate developments and financial results. To participate in the call, please dial (877) 407-9716 (domestic) or (201) 493-6779 (international). The access code for all callers is 13745236. The Company recommends joining the call at least 5 minutes in advance. In addition, a live webcast will be available on the Company's website at www.horizontechfinance.com.

該公司將於美國東部時間2024年5月1日星期三上午9點舉行電話會議,討論其最新的公司發展和財務業績。要參與電話會議,請撥打 (877) 407-9716(國內)或 (201) 493-6779(國際)。所有來電者的接入碼均爲13745236。該公司建議至少提前5分鐘加入電話會議。此外,將在公司網站上進行網絡直播,網址爲 www.horizontechfin

A webcast replay will be available on the Company's website for 30 days following the call.

電話會議結束後的30天內,公司網站上將提供網絡直播重播。

About Horizon Technology Finance

關於地平線科技金融

Horizon Technology Finance Corporation (NASDAQ: HRZN), externally managed by Horizon Technology Finance Management LLC, an affiliate of Monroe Capital, is a leading specialty finance company that provides capital in the form of secured loans to venture capital backed companies in the technology, life science, healthcare information and services, and sustainability industries. The investment objective of Horizon is to maximize its investment portfolio's return by generating current income from the debt investments it makes and capital appreciation from the warrants it receives when making such debt investments. Horizon is headquartered in Farmington, Connecticut, with a regional office in Pleasanton, California, and investment professionals located throughout the U.S. Monroe Capital is an $18 billion asset management firm specializing in private credit markets across various strategies, including direct lending, technology finance, venture debt, opportunistic, structured credit, real estate and equity. To learn more, please visit horizontechfinance.com.

Horizon Technology Finance Corporation(納斯達克股票代碼:HRZN)由門羅資本的子公司Horizon Technology Finance Management LLC外部管理,是一家領先的專業金融公司,以擔保貸款的形式向科技、生命科學、醫療保健信息和服務以及可持續發展行業的風險投資支持公司提供資本。Horizon的投資目標是通過從其債務投資中獲得的當前收入以及從進行此類債務投資時獲得的認股權證中獲得的資本增值來最大化其投資組合的回報。Horizon總部位於康涅狄格州法明頓,在加利福尼亞州普萊森頓設有區域辦事處,投資專業人員遍佈美國各地。門羅資本是一家價值180億美元的資產管理公司,專門從事各種策略的私人信貸市場,包括直接貸款、科技融資、風險債務、機會主義、結構性信貸、房地產和股權。要了解更多信息,請訪問 horizontechfinan

Forward-Looking Statements

前瞻性陳述

Statements included herein may constitute "forward-looking statements" within the meaning of the Private Securities Litigation Reform Act of 1995. Statements other than statements of historical facts included in this press release may constitute forward-looking statements and are not guarantees of future performance, condition or results and involve a number of risks and uncertainties. Actual results may differ materially from those in the forward-looking statements as a result of a number of factors, including those described from time to time in Horizon's filings with the Securities and Exchange Commission. Horizon undertakes no duty to update any forward-looking statement made herein. All forward-looking statements speak only as of the date of this press release.

此處包含的陳述可能構成1995年《私人證券訴訟改革法》所指的 “前瞻性陳述”。本新聞稿中包含的歷史事實陳述以外的陳述可能構成前瞻性陳述,不能保證未來的業績、狀況或業績,涉及許多風險和不確定性。由於多種因素,包括Horizon向美國證券交易委員會提交的文件中不時描述的因素,實際業績可能與前瞻性陳述中的業績存在重大差異。Horizon沒有義務更新此處發表的任何前瞻性陳述。所有前瞻性陳述僅代表截至本新聞稿發佈之日。

Horizon Technology Finance Corporation and Subsidiaries

Consolidated Statements of Assets and Liabilities

(Dollars in thousands, except share and per share data)

March 31,

December 31,

2024

2023

(unaudited)

Assets

Non-affiliate investments at fair value (cost of $721,456 and $716,077, respectively)

$

684,895

$

693,730

Non-controlled affiliate investments at fair value (cost of $28,689 and $28,677, respectively)

12,577

1,132

Controlled affiliate investments at fair value (cost of $15,028 and $14,428, respectively)

13,644

14,223

Total investments at fair value (cost of $765,173 and $759,182, respectively)

711,116

709,085

Cash

46,921

46,630

Investments in money market funds

21,879

26,450

Restricted investments in money market funds

2,533

2,642

Interest receivable

16,579

13,926

Other assets

3,260

3,623

Total assets

$

802,288

$

802,356

Liabilities

Borrowings

$

452,490

$

462,235

Distributions payable

13,099

11,011

Base management fee payable

1,058

1,052

Incentive fee payable

295

Other accrued expenses

3,225

4,077

Total liabilities

470,167

478,375

Commitments and contingencies

Net assets

Preferred stock, par value $0.001 per share, 1,000,000 shares authorized, zero

shares issued and outstanding as of March 31, 2024 and December 31, 2023

Common stock, par value $0.001 per share, 100,000,000 shares authorized,

34,637,343 and 33,534,854 shares issued and 34,469,878 and 33,367,389 shares outstanding as of March 31, 2024 and December 31, 2023, respectively

37

36

Paid-in capital in excess of par

463,539

450,949

Distributable earnings

(131,455

(127,004

Total net assets

332,121

323,981

Total liabilities and net assets

$

802,288

$

802,356

Net asset value per common share

$

9.64

$

9.71

地平線科技金融公司及子公司

合併資產負債表

(千美元,股票和每股數據除外)

3月31日

十二月三十一日

2024

2023

(未經審計)

資產

按公允價值計算的非關聯投資(成本分別爲721,456美元和716,077美元)

$

684,895

$

693,730

按公允價值計算的非受控關聯公司投資(成本分別爲28,689美元和28,677美元)

12,577

1,132

按公允價值計算的受控關聯公司投資(成本分別爲15,028美元和14,428美元)

13,644

14,223

按公允價值計算的投資總額(成本分別爲765,173美元和759,182美元)

711,116

709,085

現金

46,921

46,630

對貨幣市場基金的投資

21,879

26,450

限制對貨幣市場基金的投資

2,533

2,642

應收利息

16,579

13,926

其他資產

3,260

3,623

總資產

$

802,288

$

802,356

負債

借款

$

452,490

$

462,235

應付分配

13,099

11,011

應付基本管理費

1,058

1,052

應付激勵費

295

其他應計費用

3,225

4,077

負債總額

470,167

478,375

承付款和意外開支

淨資產

優先股,面值每股0.001美元,授權1,000,000股,零

截至 2024 年 3 月 31 日和 2023 年 12 月 31 日已發行和流通的股份

普通股,面值每股0.001美元,授權1億股,

截至2024年3月31日和2023年12月31日,已發行34,637,343股和33,534,854股股票以及已發行34,469,878股和33,367,389股已發行股票

37

36

實收資本超過面值

463,539

450,949

可分配收益

(131,455)

(127,004)

淨資產總額

332,121

323,981

負債總額和淨資產

$

802,288

$

802,356

每股普通股淨資產價值

$

9.64

$

9.71

Horizon Technology Finance Corporation and Subsidiaries

Consolidated Statements of Operations (Unaudited)

(Dollars in thousands, except share and per share data)

For the Three Months Ended

March 31,

2024

2023

Investment income

From non-affiliate investments:

Interest income

$

24,468

$

26,195

Fee income

268

638

Payment-in-kind interest income

1,216

1,204

From controlled affiliate investments:

Interest income

11

Payment-in-kind interest income

166

Total investment income

26,129

28,037

Expenses

Interest expense

8,161

7,120

Base management fee

3,162

3,201

Performance based incentive fee

295

2,978

Administrative fee

433

440

Professional fees

665

658

General and administrative

429

445

Total expenses

13,145

14,842

Net investment income before excise tax

12,984

13,195

Provision for excise tax

379

184

Net investment income

12,605

13,011

Net realized and unrealized loss

Net realized gain (loss) on non-affiliate investments

11

(168

Net realized loss on non-controlled affiliate investments

(3

Net realized gain (loss) on investments

8

(168

Net unrealized depreciation on non-affiliate investments

(14,214

(8,383

Net unrealized appreciation on non-controlled affiliate investments

11,433

846

Net unrealized depreciation on controlled affiliate investments

(1,179

Net unrealized depreciation on investments

(3,960

(7,537

Net realized and unrealized loss

(3,952

(7,705

Net increase in net assets resulting from operations

$

8,653

$

5,306

Net investment income per common share

$

0.38

$

0.46

Net increase in net assets resulting from operations per common share

$

0.26

$

0.19

Distributions declared per share

$

0.38

$

0.33

Weighted average shares outstanding

33,579,743

28,227,100

地平線科技金融公司及子公司

合併運營報表(未經審計)

(千美元,股票和每股數據除外)

在已結束的三個月中

3月31日

2024

2023

投資收益

來自非關聯投資:

利息收入

$

24,468

$

26,195

費用收入

268

638

實物支付利息收入

1,216

1,204

來自受控的附屬公司投資:

利息收入

11

實物支付利息收入

166

總投資收入

26,129

28,037

開支

利息支出

8,161

7,120

基礎管理費

3,162

3,201

基於績效的激勵費

295

2,978

管理費

433

440

專業費用

665

658

一般和行政

429

445

支出總額

13,145

14,842

消費稅前的淨投資收益

12,984

13,195

消費稅準備金

379

184

淨投資收益

12,605

13,011

已實現和未實現的淨虧損

非關聯投資的已實現淨收益(虧損)

11

(168)

非受控關聯公司投資的已實現淨虧損

(3)

投資的已實現淨收益(虧損)

8

(168)

非關聯投資的未實現淨折舊

(14,214

(8,383)

非受控關聯公司投資的未實現淨增值

11,433

846

受控關聯公司投資的未實現淨折舊

(1,179

投資的未實現折舊淨額

(3,960)

(7,537)

已實現和未實現的淨虧損

(3,952)

(7,705)

運營導致的淨資產淨增加

$

8,653

$

5,306

每股普通股的淨投資收益

$

0.38

$

0.46

每股普通股運營產生的淨資產淨增加

$

0.26

$

0.19

每股申報的分配

$

0.38

$

0.33

已發行股票的加權平均值

33,579,743

28,227,100

Investor Relations:
ICR
Garrett Edson
ir@horizontechfinance.com
(646) 200-8885

投資者關係:
ICR
加勒特·埃德森
ir@horizontechfinance.com
(646) 200-8885

Media Relations:
ICR
Chris Gillick
HorizonPR@icrinc.com
(646) 677-1819

媒體關係:
ICR
克里斯·吉利克
HorizonPR@icrinc.com
(646) 677-1819

Source: Horizon Technology Finance Corporation

來源:地平線科技金融公司

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
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