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ParkerVision Reports Second Quarter 2024 Results

ParkerVision Reports Second Quarter 2024 Results

ParkerVision報告2024年第二季度業績
Accesswire ·  08/13 16:01

JACKSONVILLE, FL / ACCESSWIRE / August 13, 2024 / ParkerVision, Inc. (OTCQB:PRKR) ("ParkerVision" or the "Company"), a developer and marketer of technologies and products for wireless applications, today announced results for the six months ended June 30, 2024.

ParkerVision公司(OTCQB:PRKR)是一家無線應用技術和產品的開發和市場推廣公司。今天宣佈了截至2024年6月30日的六個月的業績。

2024 Summary and Recent Developments

2024年摘要和最新發展

  • The Company is awaiting a decision from the United States Court of Appeals for the Federal Circuit (CAFC) in ParkerVision v. Qualcomm (Middle District of Florida - Orlando).

    • In July 2024, the CAFC dismissed the appeal, with the ability for reinstatement, determining that it did not have jurisdiction over this case as the district court had never entered a final order on Qualcomm's counterclaims of invalidity.

    • On August 1, 2024, at the joint request of the parties, the District Court in the Middle District of Florida dismissed Qualcomm's counterclaims of invalidity without prejudice, thus providing the CAFC jurisdiction.

    • The appeal was resubmitted to the CAFC on August 7, 2024. The CAFC has indicated it will rule on the basis of the briefs previously submitted and the oral arguments heard in November 2023.

  • In June 2024, the Company had a joint claim construction hearing in the Western District of Texas that covered claim construction for pending cases against Texas Instruments ("TI") and NXP Semiconductors ("NXP") and second actions against MediaTek and Realtek. The court's formal claim construction orders are expected to be issued in the near term.

  • The Company has a number of jury trials scheduled in the Western District of Texas beginning in March 2025 against Realtek, followed by April 2025 against MediaTek, May 2025 against TI and August 2025 against NXP.

    • MediaTek, TI and NXP have filed inter partes review ("IPR") petitions against claims related to an aggregate of five of the Company's asserted patents. One such IPR has been instituted to date, against one of the patents asserted against MediaTek. The remaining IPRs are still being briefed.

  • 公司正在等待聯邦巡迴上訴法院(CAFC)在ParkerVision訴Qualcomm(佛羅里達中部奧蘭多)案件中的裁決。

    • 2024年7月,CAFC裁定對此案件沒有管轄權,因爲地區法院從未就高通的無效反訴做出最終命令,並有權恢復此案的審理。

    • 2024年8月1日,根據雙方聯合請求,佛羅里達中區地方法院駁回了高通的無效反訴,未予裁決,從而向CAFC提供了管轄權。

    • 該上訴於2024年8月7日重新提交給CAFC。 CAFC表示將根據此前提交的簡要和2023年11月進行的口頭辯論來做出裁決。

  • 2024年6月,該公司在西部得克薩斯地區進行了聯合權利要求構造聽證會,涉及針對德州儀器("TI")和NXP半導體("NXP")以及針對MediaTek和Realtek的未決案件的權利要求構造。法院預計將在不久的將來發布正式的權利要求構造命令。

  • 該公司在得克薩斯西部地區安排了一系列陪審團審判,從2025年3月對於Realtek,接着是4月對於MediaTek,5月對於TI和2025年8月對於NXP。

    • MediaTek,TI和NXP已針對與公司聲稱的五項專利權提出了干預審查("IPR")申請。目前有一項此類IPR已啓動,此IPR是針對其中一項針對MediaTek提出的專利權所提出的。其餘的IPR仍在準備中。

Jeffrey Parker, Chairman and Chief Executive Officer, commented, "We anticipate that a ruling will be forthcoming from the CAFC in the near term now that the issue of jurisdiction has been resolved. The next twelve months promise to be active as we have four scheduled jury trials in our patent infringement cases in the Western District of Texas. We will also be vigorously defending our patents at the PTAB which has become a commonly used defense strategy for companies attempting to avoid patent infringement judgements."

主席兼首席執行官Jeffrey Parker發表評論稱:「我們預計,現在管轄權問題得以解決,CAFC將很快做出裁決。接下來的12個月將非常活躍,因爲我們在得克薩斯西部地區的專利侵權案件中有四個陪審團審判安排。我們還將積極捍衛我們在PTAb的專利,這已成爲企業試圖避免專利侵權判決的常用防禦策略。」

Financial Results

財務結果

  • ParkerVision reported a net loss for the second quarter of 2024 of $0.3 million, or $0.00 per common share, compared to net income of $1.4 million, or $0.02 per common share for the second quarter of 2023. On a year-to-date basis, the Company reported a net loss for the first six months of 2024 of $1.0 million, or $0.01 per common share, compared to net income of $14.5 million, or $.17 per common share for the first six months of 2023. The 2023 net income was the result of a $25 million patent license and settlement agreement entered into in February 2023, net of contingent fees and expenses.

  • The Company used $1.4 million in cash for operations for the first half of 2024, ending the quarter with $1.0 million in cash and cash equivalents.

  • ParkerVision報告2024年第二季度淨虧損30萬美元,每股普通股虧損0.00美元,相比之下,2023年第二季度淨收入爲140萬美元,每股普通股收入0.02美元。按年度計算,公司報告2024年前六個月的淨虧損爲100萬美元,每股普通股虧損0.01美元,相比之下,公司報告2023年前六個月的淨收入爲1450萬美元,每股普通股收入爲0.17美元。2023年的淨收入是由於在2023年2月簽訂了一項2500萬美元的專利許可和和解協議,扣除了相關費用和開支。

  • 該公司2024年上半年運營現金流爲負140萬美元,季末的現金及現金等價物爲100萬美元。

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公司發明,開發和授權尖端專有的無線電頻率(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參與了多項在美國的專利執行行動,以保護其認爲被其他公司廣泛侵犯的專利權利。欲了解更多信息,請訪問。 (PRKR-I)

Safe Harbor Statement

Safe Harbor聲明

This press release contains forward-looking statements within the meaning of Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Act of 1934, as amended. All statements, other than statements of historical fact, included or incorporated in this press release are forward-looking statements. The words "expected," "anticipate," and "promise" and similar expressions are intended to identify these forward-looking statements. The Company does not guarantee that it will actually achieve the plans, intentions or expectations disclosed in its forward-looking statements and you should not place undue reliance on the Company's forward-looking statements.

本新聞稿包含根據《1933年證券法》第27A節,修改版和《1934年證券法》第21E節,修改版的前瞻性聲明。除歷史事實陳述以外,本新聞稿所包含或納入的所有陳述均屬前瞻性聲明。擬定的、預計的和類似表述的陳述旨在識別這些前瞻性陳述。公司不保證實際實現其前瞻性陳述的計劃、意圖或期望,您不應過度依賴公司的前瞻性陳述。

Forward-looking statements involve risks and uncertainties, and actual results could vary materially from these forward-looking statements. There are a number of important factors that could cause the Company's actual results to differ materially from those indicated or implied by its forward-looking statements, including those important factors set forth under the caption "Risk Factors" in the Company's Annual Report on Form 10-K for the year ended December 31, 2023 and disclosures in the Company's Quarterly Reports on Form 10-Q for the quarters ended March 31, 2024 and June 30, 2024, filed with the Securities and Exchange Commission. Although the Company may elect to do so at some point in the future, the Company does not assume any obligation to update any forward-looking statement and it disclaims any intention or obligation to update or revise any forward-looking statement, whether as a result of new information, future events, or otherwise.

前瞻性陳述涉及風險和不確定性,實際結果可能與這些前瞻性陳述有所不同。有許多重要因素可能導致公司的實際結果與其前瞻性陳述所指示或暗示的結果有所不同。在公司的《2023年年度報告》的「風險因素」部分以及提交給證券交易委員會的2024年第一季度和第二季度的季度報告中披露了這些重要因素。雖然公司可能隨時在未來選擇這樣做,但公司不會假定任何更新任何前瞻性聲明的義務,並且公司放棄任何更新或修正任何前瞻性聲明的意圖或義務,無論是由於新信息、未來事件還是其他原因引起的更新或修正。

Cindy French
Chief Financial Officer
ParkerVision, Inc
cfrench@parkervision.com

Cindy French
致富金融(臨時代碼)
ParkerVision公司
cfrench@parkervision.com

(TABLES FOLLOW)

(下面附有表格)

ParkerVision, Inc.
Balance Sheet Highlights (unaudited)

ParkerVision公司。
資產負債表亮點(未經審計)

(in thousands)

June 30, 2024

December 31, 2023

Cash and cash equivalents

$

1,025

$

2,560

Prepaid expenses and other current assets

106

95

Intangible assets & other noncurrent assets

1,257

1,368

Total assets

2,388

4,023

Current liabilities

2,416

2,289

Contingent payment obligations

36,298

37,020

Convertible notes, net of current portion

3,588

3,893

Other long-term liabilities

271

340

Shareholders' deficit
(40,185) (39,519)
Total liabilities and shareholders' deficit

$

2,388

$

4,023

(以千爲單位)

2024年6月30日

2023年12月31日

現金及現金等價物

$

1,025

$

2,560

資產預付款和其他流動資產的變動

106

95

無形資產和其他非流動資產

1,257

1,368

總資產

2,388

4,023

流動負債

2,416

2,289

應付的支付義務

36,298

37,020

可轉換票據,扣除流動部分淨額

3,588

3,893

其他長期負債

271

340

股東赤字
(40,185) (39,519)
負債合計和股東權益赤字總額

$

2,388

$

4,023

ParkerVision, Inc.
Summary Results of Operations (unaudited)

ParkerVision公司。
操作總結(未經審計)

Three Months Ended

Six Months Ended

(in thousands, except per share amounts)

June 30,

June 30,

2024

2023

2024

2023

Licensing revenue

$

-

$

-

$

25,000

Cost of sales
(58) (63) (117) (106)
Gross margin
(58) (63) (117)

24,894

Selling, general and administrative expenses

683

1,125

1,457

13,210

Total operating expenses

683

1,125

1,457

13,210

Interest expense and other
(88) (107) (168) (213)
Change in fair value of contingent payment obligations

502

2,728

722

3,077

Total other income (expense), net

414

2,621

554

2,864

Net (loss) income

$

(327)

$

1,433

$

(1,020)

$

14,548

Basic (loss) earnings per common share

$

(0.00)

$

0.02

$

(0.01)

$

0.17

Diluted (loss) earnings per common share

$

(0.00)

$

0.01

$

(0.01)

$

0.12

Weighted average shares outstanding
Basic

88,683

85,263

88,424

84,570

Diluted

88,683

120,061

88,424

119,700

三個月之內結束

銷售額最高的六個月

(以千爲單位,每股金額除外)

2020年6月30日

2020年6月30日

2024

2023

2024

2023

許可收入

$

-

$

-

$

25,000

銷售成本
(58) (63) (117) (106)
毛利率
(58) (63) (117)

24,894

銷售,總務及管理費用

683

1,125

1457

13,210

營業費用總計

683

1,125

1457

13,210

利息費用和其他
(88) (107) (168) (213)
應付款項公允價值變動

502

2,728

722

3,077

總其他收入(費用),淨額

414

2,621

554

2,864

淨(虧損)利潤

$

(327)

$

1,433

$

(1,020)

$

14,548

每股基本(虧損)收益

$

(0.00)

$

0.02

$

(0.01)

$

0.17

每股攤薄(虧損)收益

$

(0.00)

$

0.01

$

(0.01)

$

0.12

加權平均股數
基本

88,683

85,263期權。

88,424

84,570

攤薄

88,683

120,061

88,424

119,700

ParkerVision, Inc.
Summary of Cash Flows
(unaudited)

ParkerVision公司。
現金流彙總
(未經審計)

Six Months Ended

(in thousands)

June 30,

2024

2023

Net cash (used in) provided by operating activities

$

(1,418)

$

12,266

Net cash used in investing activities

-

(1)
Net cash used in financing activities
(117) (8,174)
Net (decrease) increase in cash and cash equivalents and restricted cash
(1,535)

4,091

Cash and cash equivalents and restricted cash - beginning of period

2,560

109

Cash and cash equivalents and restricted cash - end of period

$

1,025

$

4,200

銷售額最高的六個月

(以千爲單位)

2020年6月30日

2024

2023

經營活動產生的現金流量淨額

$

(1,418)

$

12,266

投資活動產生的淨現金流出

-

(1)
籌集資金淨額
(117) (8,174)
現金及現金等價物淨(減少)增加額和受限制的現金
(1,535)

4,091

現金及現金等價物和受限制的現金-期初餘額

2,560

109

現金及現金等價物和受限制的現金-期末餘額

$

1,025

$

4,200

SOURCE: ParkerVision, Inc.

來源:ParkerVision公司。


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