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Goldmoney Inc. Reports Results for the Quarter Ended June 30 2024

Goldmoney Inc. Reports Results for the Quarter Ended June 30 2024

Goldmoney公司報告截至2024年6月30日的季度業績
newsfile ·  07/31 23:00

Toronto, Ontario--(Newsfile Corp. - July 31, 2024) - Goldmoney Inc. (TSX: XAU) (US: XAUMF) ("Goldmoney" or the "Company"), today announced financial results for the fiscal 2025 first quarter for the period ended June 30, 2024. All amounts are expressed in Canadian dollars unless otherwise noted.

安大略省多倫多 - (Newsfile corp. - 2024年7月31日) - Goldmoney Inc. (TSX: XAU) (US: XAUMF) ("Goldmoney" or the "Company")今天公佈了2025財年第一季度截至2024年6月30日的財務業績。除非另有說明,否則所有金額均以加元表示。

Financial Highlights

財務亮點

  • Group Tangible Capital of $133.8 million, an increase of 6.1% QoQ

  • Group Tangible Capital per Share of $10.24, an increase of 6.7% QoQ

  • Group Tangible Capital per Share excluding MENE of $8.67 per share an increase of 8% QoQ

  • Adjusted Net Income of $6.6 million, an increase of 57.1% QoQ

  • During the period ended June 30, 2024, the Company reached the limits under its current NCIB following the repurchase and cancellation of 85,000 shares. In total, the company repurchased and cancelled 865,909 shares since June 30, 2023.

  • 集團實質資本13380萬美元,較上季度增長6.1%

  • 每股實質資本10.24美元,較上季度增長6.7%

  • 每股實質資本(不包括MENE)8.67美元,較上季度增長8%

  • 調整後的淨收入660萬美元,較上季度增長57.1%

  • 在截至2024年6月30日的期間內,公司在回購和註銷85,000股股票後達到了其當前NCIb的限制。自2023年6月30日以來,公司總共回購和註銷了865,909股股票。

Quarterly Performance Metrics Table

季度業績統計表

($000s, except earnings per share) 2025 2024 2023
Q1 Q4 Q3 Q2 Q1 Q4 Q3 Q2
Key Performance Metrics (Balance Sheet)
Shares outstanding 13,060 13,137 13,449 13,777 13,926 13,996 14,861 14,916
Shareholder equity 147,984 141,178 173,761 172,602 173,224 172,123 182,707 173,079
Tangible equity inclusive of MENE 133,780 126,100 147,078 143,019 143,475 142,203 143,118 133,319
Tangible equity exclusive of MENE 113,217 105,457 113,059 108,396 108,756 107,599 108,367 98,079
Tangible equity per share ($CAD) 10.24 9.60 10.94 10.38 10.30 10.16 9.63 8.94
Tangible equity per share exclusive of MENE 8.67 8.03 8.41 7.87 7.81 7.69 7.29 6.58
Key Performance Metrics (Operational)
Net income (loss) 5,132 (32,095) 6,005 2,009 1,995 (4,050) 10,341 3,734
Total comprehensive income (loss) 6,077 (30,640) 7,391 627 1,651 (4,053) 10,321 3,789
Adjstments for revaluations, FX, stock 550 34,518 (1,792) 2,077 1,449 6,291 (7,249) (113)
compensation, and non-cash items
Non-IFRS adjusted net income 6,627 3,878 5,598 2,704 3,100 2,238 3,072 3,675
Key Performance Metrics (Earnings per Share)
Basic earnings (loss) per share 0.39 (2.42) 0.44 0.15 0.14 (0.27) 0.69 0.25
Diluted earnings (loss) per share 0.38 (2.42) 0.44 0.14 0.14 (0.27) 0.69 0.25
Non-IFRS adjusted net income per share 0.51 0.30 0.42 0.20 0.22 0.16 0.21 0.25
(以千美元計,每股收益除外) 2025 2024 2023
第一季度 第四季度 Q3 第二季 第一季度 第四季度 Q3 第二季
關鍵績效指標(資產負債表)
股份總數 13,060 13,137 13,449 13,777 13,926 13,996 14,861 14,916
股東權益 147,984 141,178 173,761 172,602 173,224 172,123 182,707 173,079
包括MENE的有形資本 133,780 126,100 147,078 143,019 143,475 142,203 143,118 133,319
不包括 MENE 的有形股本 113,217 105,457 113,059 108,396 108,756 107,599 108,367 98,079
每股有形股本(加元) 10.24 9.6 10.94 10.38 10.30 10.16 9.63 8.94
不包括 MENE 的每股有形股本 8.67 8.03 Table 1:Frontier NW區域通道採樣的化驗結果。 採樣通道靠近612870 mE,5228740 mN(UTM NAD83區17N),線趨於西南。 7.87 7.81 7.69 7.29 6.58
業績關鍵指標(運營)
淨利潤(損失) 5,132 (32,095) 6,005 2,009 1,995 (4,050) 10,341 3,734
總綜合收益(損失) 6,077 (30,640) 7,391 627 1,651 (4,053) 10,321 3,789
調整重估、外匯、股票報酬和非現金物品 550 34,518 (1,792) 2077 1,449 6,291 (7,249) (113)
以及非貨幣性項目
非IFRS調整後的淨利潤 6627 3,878 5,598 2,704 3,100 2,238 3,072 3,675
關鍵績效指標(每股收益)
基本每股收益(虧損) 0.39 (2.42) 0.44 0.15 0.14 (0.27) 0.69 0.25
攤薄每股收益(虧損) 0.38 (2.42) 0.44 0.14 0.14 (0.27) 0.69 0.25
非IFRS調整後的每股淨利潤 0.51 0.30 0.42 0.20 0.22 0.16 0.21 0.25

About Goldmoney Inc.

關於Goldmoney Inc.

Goldmoney Inc. (TSX: XAU) specializes in the investment and custody of enduring real assets. Through its subsidiaries, the Company offers precious metals trading services to clients, including secure custody and storage solutions. Goldmoney also maintains diversified interests in property investment and jewelry manufacturing. For more information about Goldmoney, visit goldmoney.com.

Goldmoney股份有限公司(TSX:XAU)專注於持久資產的投資和託管。通過其子公司,公司向客戶提供貴金屬交易服務,包括安全託管和儲存解決方案。Goldmoney還在房地產投資和珠寶製造業中擁有多元化的利益。有關Goldmoney的更多信息,請訪問goldmoney.com。

Financial Information and IFRS Standards

財務信息和IFRS標準

The selected financial information included in this release is qualified in its entirety by, and should be read together with, the Company's consolidated financial statements for the fiscal year ended March 31, 2024 and prepared in accordance with IFRS Accounting Standards ("IFRS") and the corresponding management's discussion and analysis ("MD&A"), which are available under the Company's profile on SEDAR at .

在此發佈的所選財務信息應與公司在2024財年報告中的合併財務報表一起閱讀,並按照IFRS會計準則("IFRS")和相應的管理層討論與分析("MD&A")編制。請訪問公司在SEDAR的檔案信息中了解更多。

Non-IFRS Measures

公司在評估企業表現時使用以下非實物金融指標。這些術語沒有被國際財務報告準則規定的標準化含義,因此可能與其他公司計算類似指標的方式不可比。

This news release contains non-IFRS financial measures; the Company believes that these measures provide investors with useful supplemental information about the financial performance of its business, enable comparison of financial results between periods where certain items may vary independent of business performance, and allow for greater transparency with respect to key metrics used by management in operating its business. Although management believes these financial measures are important in evaluating the Company's performance, they are not intended to be considered in isolation or as a substitute for, or superior to, financial information prepared and presented in accordance with IFRS. These non-IFRS financial measures do not have any standardized meaning and may not be comparable with similar measures used by other companies. For certain non-IFRS financial measures, there are no directly comparable amounts under IFRS. These non-IFRS financial measures should not be viewed as alternatives to measures of financial performance determined in accordance with IFRS. Moreover, presentation of certain of these measures is provided for year-over-year comparison purposes, and investors should be cautioned that the effect of the adjustments thereto provided herein have an actual effect on the Company's operating results.

本新聞發佈包含非IFRS財務指標;公司認爲這些指標爲投資者提供關於其業務財務表現的有用補充信息,並使業務績效獨立於某些項目的財務結果的比較成爲可能,並允許更大程度透明度,使管理層在經營業務時使用的關鍵指標更加透明。雖然管理層認爲這些財務指標在評估公司的績效方面很重要,但並不打算將其孤立地或替代按照IFRS編制和提供的財務信息。這些非IFRS財務指標沒有任何標準化含義,並且可能與其他公司使用的類似指標無法進行比較。對於某些非IFRS財務指標,IFRS下沒有直接可比的金額。這些非IFRS財務指標不應被視爲按照IFRS確定的財務表現指標的替代品。此外,部分非IFRS財務指標的展示僅用於年度對比,投資者應注意調整對公司的實際運營結果產生的影響。

Tangible Capital is a non-IFRS measure. This figure excludes from total shareholder equity (i) intangibles, and (ii) goodwill, and is useful to demonstrate the tangible capital employed by the business.

有形資本是一項非IFRS指標。此數字排除了總股東權益中的(i)無形資產和(ii)商譽,有助於顯示公司使用的有形資本。

Non-IFRS Adjusted Net Income is a non-IFRS measure, defined as total comprehensive income (loss) adjusted for non-cash and non-core items which include, but is not limited to, revaluation of precious metal inventories, fair value movements, stock-based compensation, depreciation and amortization, foreign exchange fluctuations and gains and losses on investments.

非IFRS調整淨收益是一項非IFRS指標,定義爲經過調整的非現金和非核心項目的綜合收益(損失),包括但不限於貴金屬庫存重估、公允價值變動、股權激勵、折舊和攤銷、匯率波動以及投資收益和損失。

For a full reconciliation of non-IFRS financial measures used herein to their nearest IFRS equivalents, please see the section entitled "Reconciliation of Non-IFRS Financial Measures" in the Company's MD&A for the year ended March 31, 2024.

有關此處所使用的非IFRS財務指標與其最接近的IFRS等效項的全面協調,請參閱公司在2024年3月31日年報中標題爲“非IFRS財務指標協調”的章節。

Media and Investor Relations inquiries:

媒體和投資者關係查詢:

Sean Ty
Chief Financial Officer
Goldmoney Inc.
+1 647 250 7098

謝恩
致富金融(臨時代碼)
Goldmoney Inc.
+1 647 250 7098

Forward-Looking Statements

前瞻性聲明

This news release contains or refers to certain forward-looking information. Forward-looking information can often be identified by forward-looking words such as "anticipate", "believe", "expect", "plan", "intend", "estimate", "may", "potential" and "will" or similar words suggesting future outcomes, or other expectations, beliefs, plans, objectives, assumptions, intentions or statements about future events or performance. All information other than information regarding historical fact, which addresses activities, events or developments that the Goldmoney Inc. believes, expects or anticipates will or may occur in the future, is forward-looking information. Forward-looking information does not constitute historical fact but reflects the current expectations the Company regarding future results or events based on information that is currently available. By their nature, forward-looking statements involve numerous assumptions, known and unknown risks and uncertainties, both general and specific, that contribute to the possibility that the predictions, forecasts, projections and other forward-looking information will not occur. Such forward-looking information in this release speak only as of the date hereof.

本新聞發佈包含或涉及特定的前瞻性信息。前瞻性信息通常可由前瞻性詞語識別,例如“預計”、“相信”、“期望”、“計劃”、“打算”、“估計”、“可能”和“將要”或類似的詞語表明未來的結果,或其他期望、信仰、計劃、目標、假設、意圖或有關未來事件或表現的陳述。除了地址活動、事件或Goldmoney Inc.相信、期望或預期將會或可能在未來發生的發展之外的所有信息,都是前瞻性信息。前瞻性信息並不構成歷史事實,但反映了Goldmoney Inc.關於當前可用信息基礎上對未來結果或事件之期望。由於前瞻性陳述的本質,存在許多假設,已知和未知風險和不確定性,無論是一般的還是特定的,都可能導致對預測、預測、預測和其他前瞻性信息的表現不會發生。本發佈中此類前瞻性信息僅適用於發表日期。

Forward-looking information in this release includes, but is not limited to, statements with respect to: financial performance and growth of the Company's business; expected results of operations, the market for the Company's products and services and competitive conditions; and the establishment of a real estate investment strategy. This forward-looking information is based on reasonable assumptions and estimates of management of the Company at the time it was made, and involves known and unknown risks, uncertainties and other factors which may cause the actual results, performance or achievements of the Company to be materially different from any future results, performance or achievements expressed or implied by such forward-looking information. Such factors include, among others: the Company's operating history; history of operating losses; future capital needs and uncertainty of additional financing; fluctuations in the market price of the Company's common shares; the effect of government regulation and compliance on the Company and the industry; legal and regulatory change and uncertainty; jurisdictional factors associated with international operations; foreign restrictions on the Company's operations; product development and rapid technological change; dependence on technical infrastructure; protection of intellectual property; use and storage of personal information and compliance with privacy laws; network security risks; risk of system failure or inadequacy; the Company's ability to manage rapid growth; competition; the ability to identify opportunities for growth internally and through acquisitions and strategic relationships on terms which are economic or at all; the ability to identify and complete the acquisition of suitable real estate investment opportunities on terms which are economic or at all; effectiveness of the Company's risk management and internal controls; use of the Company's services for improper or illegal purposes; uninsured and underinsured losses; theft & risk of physical harm to personnel; precious metal trading risks; and volatility of precious metals prices & public interest in precious metals investment; and those risks set out in the Company's most recently filed annual information form, available on SEDAR. Although the Company has attempted to identify important factors that could cause actual results to differ materially, there may be other factors that cause results not to be as anticipated, estimated or intended. There can be no assurance that such statements will prove to be accurate as actual results and future events could differ materially from those anticipated in such statements. Accordingly, readers should not place undue reliance on forward-looking information. The Company undertakes no obligation to update or revise any forward-looking information, except as required by law.

本發佈中的前瞻性信息包括但不限於以下方面的聲明:公司業務的財務表現和增長;預期收益結果,公司產品和服務的市場和競爭狀況;以及地產投資策略的制定。此前瞻性信息基於公司管理層在製作時的合理假設和估計,涉及已知和未知的風險、不確定性和其他因素,這些風險、不確定性和其他因素可能導致公司的實際結果、表現或業績與任何未來結果、表現或成就不相符合的前瞻性信息的表現或暗示。這些因素包括但不限於:公司運營歷史;運營虧損歷史;未來資本需求和額外融資的不確定性;公司普通股市場價格的波動;政府監管和合規對公司和行業的影響;法律和法規變化和不確定性;與國際運營有關的管轄因素;對公司運營的外國限制;產品開發和快速技術變革;依賴技術基礎設施;知識產權的保護;個人信息的使用和存儲以及遵守隱私法規;網絡安全風險;系統失效或不充分的風險;公司管理快速增長的能力;競爭;在經濟上或完全經濟上在內部識別增長機會和開展收購和戰略關係的能力;經濟或根本上不可能在已有的經濟條件下在一些合適的地產投資機會中識別和完成收購;公司風險管理和內部控制的有效性;公司服務的不當或非法目的的使用;未投保和不足投保的損失;盜竊和對人員構成實際危害的風險;貴金屬交易風險;以及貴金屬價格的波動以及公衆對貴金屬投資的興趣;以及在SEDAR上提供的公司最新提交的年度信息表中標明的那些風險。雖然公司已盡力確定可能引起實際結果與預期、預計或預期不同的重要因素,但可能有其他因素導致結果不符合所預期、估計或打算的情況。因此,讀者不應將過多的依賴性放在前瞻性信息上。除法律規定外,公司不承擔更新或修訂任何前瞻性信息的義務。

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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