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Nautilus Biotechnology Reports Third Quarter 2024 Financial Results

Nautilus Biotechnology Reports Third Quarter 2024 Financial Results

鸚鵡螺體育報告2024年第三季度財務業績
Nautilus Biotechnology ·  2024/10/29 12:00

SEATTLE, Oct. 29, 2024 (GLOBE NEWSWIRE) -- Nautilus Biotechnology, Inc. (NASDAQ: NAUT; or "Nautilus"), a company pioneering a single-molecule proteome analysis platform, today reported financial results for the third quarter ended September 30, 2024.

西雅圖,2024年10月29日(全球新聞網)- 鸚鵡螺生物技術公司(納斯達克:NAUT;或稱爲"鸚鵡螺"),是一家開創單分子蛋白組分析平台的公司,今天報告了截至2024年9月30日的第三季度財務結果。

"I'm excited about the expanding opportunity I see for proteomics and am pleased with the progress we're making as a business," said Sujal Patel, CEO of Nautilus. "We consistently receive positive feedback from researchers around the world as they tell us of their desire to explore the proteome more deeply and more broadly, and of the significant limitations of what's currently available. It is becoming ever more apparent that they understand how important the single-molecule, intact protein analysis to be enabled by the Nautilus platform will be to their explorations of the proteome."

"我對蛋白組學不斷擴大的機會感到興奮,並對我們作爲一家企業所取得的進展感到滿意," 鸚鵡螺的首席執行官Sujal Patel說道。"我們不斷收到來自世界各地研究人員的積極反饋,他們告訴我們希望更深入、更廣泛地探索蛋白組,以及當前可用技術的重大侷限性。越來越明顯的是,他們明白,鸚鵡螺平台將使單分子、完整蛋白分析變得至關重要,這將有助於他們對蛋白組的探索。"

Third Quarter 2024 Financial Results

2024 財年第三季度財務結果

Operating expenses were $19.1 million for the third quarter of 2024, flat compared to the corresponding prior year period. Overall personnel cost increased during the third quarter of 2024 as compared to the corresponding prior year period offset by a one-time reduction to accrued incentive compensation in the third quarter of 2024.

2024年第三季度的營業費用爲1910萬美元,與上年同期持平。整體人員成本在2024年第三季度相比於上年同期有所增加,但因在2024年第三季度減少了一次性的應計獎勵補償而抵消。

Net loss was $16.4 million for the third quarter of 2024, as compared to a net loss of $15.9 million for the corresponding prior year period.

2024年第三季度淨虧損爲1640萬美元,較去年同期的淨虧損1590萬美元有所增加。

Cash, cash equivalents, and investments were $221.2 million as of September 30, 2024.

截至2024年9月30日,現金、現金及現金等價物和投資總額爲22120萬美元。

Webcast and Conference Call Information

網絡廣播和電話會議信息

Nautilus will host a conference call to discuss the third quarter 2024 financial results, business developments and outlook before market open on Tuesday, October 29, 2024, at 5:30 AM Pacific Time / 8:30 AM Eastern Time. Live audio of the webcast will be available on the "Investors" section of the company website at: .

鸚鵡螺體育將在2024年10月29日(星期二)太平洋時間上午5:30 / 東部時間上午8:30召開電話會議,討論2024年第三季度的財務結果、業務發展和前景。網絡直播音頻將在公司網站的「投資者」部分提供。 .

About Nautilus Biotechnology, Inc.

關於鸚鵡螺生物技術公司。

With its corporate headquarters in Seattle, Washington and its research and development headquarters in San Carlos, California, Nautilus is a development stage life sciences company working to create a platform technology for quantifying and unlocking the complexity of the proteome. Nautilus' mission is to transform the field of proteomics by democratizing access to the proteome and enabling fundamental advancements across human health and medicine. To learn more about Nautilus, visit

鸚鵡螺的企業總部位於華盛頓州西雅圖,其研發總部位於加利福尼亞州聖卡洛斯,是一家開發階段的生命科學公司,致力於創建一種量化和解鎖蛋白組複雜性的技術平台。鸚鵡螺的使命是通過使人們更容易接觸蛋白組,來轉變蛋白質組學領域,並推動人類健康和醫學的基礎性進展。要了解更多信息,請訪問

Special Note Regarding Forward-Looking Statements

關於前瞻性聲明的特別說明

This press release contains forward-looking statements within the meaning of federal securities laws. Forward-looking statements in this press release include, but are not limited to, statements regarding Nautilus' expectations regarding the company's business operations, financial performance and results of operations; expectations with respect to any revenue timing or projections, expectations with respect to the development required for and the timing of the launch of Nautilus' product platform and full commercial availability, the functionality and performance of Nautilus' product platform, its potential impact on providing proteome access, pharmaceutical development and drug discovery, expanding research horizons, and enabling scientific explorations and discovery, and the present and future capabilities and limitations of emerging proteomics technologies. These statements are based on numerous assumptions concerning the development of Nautilus' products, target markets, and other current and emerging proteomics technologies, and involve substantial risks, uncertainties and other factors that may cause actual results to be materially different from the information expressed or implied by these forward-looking statements. Risks and uncertainties that could materially affect the accuracy of Nautilus' assumptions and its ability to achieve the forward-looking statements set forth in this press release include (without limitation) the following: Nautilus' product platform is not yet commercially available and remains subject to significant scientific and technical development, which is inherently challenging and difficult to predict, particularly with respect to highly novel and complex products such as those being developed by Nautilus. Even if our development efforts are successful, our product platform will require substantial validation of its functionality and utility in life science research. In the course of Nautilus' scientific and technical development and associated product validation and commercialization, we may experience material delays as a result of unanticipated events. We cannot provide any guarantee or assurance with respect to the outcome of our development, collaboration, and commercialization initiatives or with respect to their associated timelines. For a more detailed description of additional risks and uncertainties facing Nautilus and its development efforts, investors should refer to the information under the caption "Risk Factors" in our Annual Report on Form 10-K as well as in our Quarterly Report on Form 10-Q to be filed for the quarter ended September 30, 2024 and our other filings with the SEC. The forward-looking statements in this press release are as of the date of this press release. Except as otherwise required by applicable law, Nautilus disclaims any duty to update any forward-looking statements. You should, therefore, not rely on these forward-looking statements as representing our views as of any date subsequent to the date of this press release.

本新聞稿包含根據聯邦證券法定義的前瞻性聲明。此新聞稿中的前瞻性聲明包括但不限於關於鸚鵡螺對公司業務運營、財務表現和運營結果的預期;關於任何營業收入時機或預測的預期;關於鸚鵡螺的產品平台所需開發工作的預期及其上市和全面商業可用的時間;鸚鵡螺產品平台的功能和性能;其對提供蛋白組訪問、藥品開發和藥物發現的潛在影響;擴展研究視野;以及促進科學探索和發現的能力,以及新興蛋白質組學技術的現有和未來的能力和限制。這些聲明基於對鸚鵡螺產品、目標市場及其他當前和新興蛋白質組學技術的發展所作的衆多假設,並涉及可能導致實際結果與這些前瞻性聲明中所表達或暗示的信息有重大差異的重大風險、不確定性和其他因素。可能影響鸚鵡螺假設準確性及其實現本新聞稿中前瞻性聲明能力的風險和不確定性(不包括以下內容):鸚鵡螺的產品平台尚未商業化,仍需進行大量科學和技術開發,這本質上具挑戰性,難以預測,尤其是對於鸚鵡螺正在開發的高度新穎和複雜的產品。即使我們的開發工作成功,我們的產品平台仍將需要對其功能和在生命科學研究中的實用性進行大量驗證。在鸚鵡螺的科學和技術開發及相關產品驗證和商業化過程中,我們可能因不可預見的事件而經歷重大延誤。我們不能就我們開發、合作和商業化舉措的結果或與其相關的時間表提供任何保證或確保。有關鸚鵡螺及其開發工作面臨的其他風險和不確定性的更詳細描述,投資者應參考我們在10-k表格年報「風險因素」標題下的信息,以及我們在2024年9月30日季度結束時提交的10-Q表格季度報告和我們其他向美國證券交易委員會提交的文件。本新聞稿中的前瞻性聲明有效期至本新聞稿發佈日期。除非適用法律另有規定,鸚鵡螺不承擔更新任何前瞻性聲明的義務。因此,您不應將這些前瞻性聲明視爲我們在本新聞稿發佈日期之後任意日期的觀點。

Disclosure Information

披露信息

Nautilus uses filings with the Securities and Exchange Commission, its website (), press releases, public conference calls, public webcasts, and its social media accounts as means of disclosing material non-public information and for complying with Regulation FD. Therefore, Nautilus encourages investors, the media, and others interested in Nautilus to review the information it makes public in these locations, as such information could be deemed to be material information.

鸚鵡螺體育通過與證券交易委員會的備案、其網站()、新聞稿、公開電話會議、公開網絡直播以及社交媒體帳戶來披露重要的非公開信息並遵守FD法規。因此,鸚鵡螺體育鼓勵投資者、媒體以及其他對鸚鵡螺體育感興趣的人士查看其在這些地點公開的信息,因爲這些信息可能被視爲重要信息。

Media Contact
press@nautilus.bio

媒體聯繫
press@nautilus.bio

Investor Contact
investorrelations@nautilus.bio

投資者聯繫
investorrelations@nautilus.bio

Nautilus Biotechnology, Inc.
Condensed Consolidated Balance Sheets
As of September 30, 2024 and December 31, 2023 (Unaudited)

鸚鵡螺生物技術公司。
簡明合併資產負債表
截至2024年9月30日和2023年12月31日(未經審計)

(in thousands, except share and per share amounts) September 30, 2024 December 31, 2023
Assets
Current assets:
Cash and cash equivalents $ 4,409 $ 19,397
Short-term investments 136,200 154,021
Prepaid expenses and other current assets 3,596 3,419
Total current assets 144,205 176,837
Property and equipment, net 4,324 4,267
Operating lease right-of-use assets 29,377 32,634
Long-term investments 80,618 90,647
Other long-term assets 1,180 1,180
Total assets $ 259,704 $ 305,565
Liabilities and Stockholders' Equity
Current liabilities:
Accounts payable $ 1,487 $ 1,639
Accrued expenses and other liabilities 3,216 3,945
Current portion of operating lease liabilities 3,959 3,538
Total current liabilities 8,662 9,122
Operating lease liabilities, net of current portion 27,608 31,090
Total liabilities 36,270 40,212
Stockholders' equity:
Preferred stock
Common stock 13 13
Additional paid-in capital 478,115 467,834
Accumulated other comprehensive income (loss) 731 (255)
Accumulated deficit (255,425) (202,239)
Total stockholders' equity 223,434 265,353
Total liabilities and stockholders' equity $ 259,704 $ 305,565
(以千爲單位,除每股和每份股金額外) 2024年9月30日 2023年12月31日
資產
流動資產:
現金及現金等價物 $ 4,409 $ 19,397
短期投資 136,200 154,021
預付款項及其他流動資產 3,596 3,419
總流動資產 144,205 176,837
物業及設備(淨額) 4,324 4,267
經營租賃使用權資產 29,377 32,634
長期投資 80,618 90,647
其他長期資產 1,180 1,180
總資產 $ 259,704 $ 305,565
負債和股東權益
流動負債:
應付賬款 $ 1,487 $ 1,639
應計費用和其他負債 3,216 3,945
當前運營租賃負債部分 3,959 3,538
總流動負債 8,662 9,122
經營租賃負債,賬面淨額 27,608 31,090
總負債 36,270 40,212
股東權益:
優先股
普通股 13 13
額外實收資本 478,115 467,834
累計其他綜合收益(損失) 731 (255)
累計虧損 (255,425) (202,239)
股東權益總額 223,434 265,353
總負債和股東權益 $ 259,704 $ 305,565

Nautilus Biotechnology, Inc.
Condensed Consolidated Statements of Operations
Three and Nine Months Ended September 30, 2024 and 2023 (Unaudited)

鸚鵡螺體育生物技術公司
合併簡明運營報表
截至2024年和2023年9月30日的三個月和九個月(未經審計)

Three Months Ended September 30, Nine Months Ended September 30,
(in thousands, except share and per share data) 2024 2023 2024 2023
Operating expenses
Research and development $ 12,288 $ 11,996 $ 37,654 $ 34,785
General and administrative 6,812 7,079 23,842 21,366
Total operating expenses 19,100 19,075 61,496 56,151
Other income (expense)
Interest income 2,674 3,197 8,349 9,517
Other expense (20) (39) (17)
Total other income $ 2,654 $ 3,197 $ 8,310 $ 9,500
Net loss $ (16,446) $ (15,878) $ (53,186) $ (46,651)
Net loss per share attributable to common stockholders, basic and diluted $ (0.13) $ (0.13) $ (0.42) $ (0.37)
Weighted-average shares used in computing net loss per share attributable to common stockholders, basic and diluted 125,452,572 124,933,837 125,302,440 124,896,975
截至9月30日的三個月 截至9月30日的九個月
(以千爲單位,除每股和每股數據外) 2024 2023 2024 2023
營業費用
研究和開發 $ 12,288 $ 11,996 $ 37,654 $ 34,785
一般管理費用 6,812 7,079 23,842 21,366
總營業費用 19,100 19,075 61,496 56,151
其他收入(費用)
利息收入 2,674 3,197 8,349 9,517
其他費用 (20) (39) (17)
其他總收入 $ 2,654 $ 3,197 $ 8,310 $ 9,500
淨損失 $ (16,446) $ (15,878) $ (53,186) $ (46,651)
歸屬於普通股股東的每股淨虧損,基本和攤薄 $ (0.13) $ (0.13) $ (0.42) $ (0.37)
在計算歸屬於普通股股東的每股淨虧損時使用的加權平均股數,基本和攤薄 125,452,572 124,933,837 125,302,440 124,896,975

Nautilus Biotechnology, Inc.
Condensed Consolidated Statements of Cash Flows
Nine Months Ended September 30, 2024 and 2023 (Unaudited)

鸚鵡螺生物技術有限公司。
簡明合併現金流量表
截至2024年和2023年9月30日的九個月(未經審計)

Nine Months Ended September 30,
(in thousands) 2024 2023
Cash flows from operating activities
Net loss $ (53,186) $ (46,651)
Adjustments to reconcile net loss to net cash used in operating activities
Stock-based compensation expense 9,577 9,064
Amortization of operating lease right-of-use assets 3,257 2,821
Depreciation 1,543 1,294
Amortization (accretion) of premium (discount) on securities, net (2,176) (2,040)
Changes in operating assets and liabilities:
Prepaid expenses and other assets (26) (878)
Accounts payable (35) 22
Accrued expenses and other liabilities (729) 757
Operating lease liabilities (3,061) (2,200)
Net cash used in operating activities (44,836) (37,811)
Cash flows from investing activities
Proceeds from maturities of securities 90,410 51,249
Purchases of securities (59,398) (51,895)
Purchases of property and equipment (1,868) (2,029)
Net cash provided by (used in) investing activities 29,144 (2,675)
Cash flows from financing activities
Proceeds from exercise of stock options 415 23
Proceeds from issuance of common stock under employee stock purchase plan 289 92
Net cash provided by financing activities 704 115
Net increase (decrease) in cash, cash equivalents and restricted cash (14,988) (40,371)
Cash, cash equivalents and restricted cash at beginning of period 20,399 115,477
Cash, cash equivalents and restricted cash at end of period $ 5,411 $ 75,106
截至9月30日的九個月
(以千爲單位) 2024 2023
經營活動產生的現金流
淨損失 $ (53,186) $ (46,651)
調整淨虧損與經營活動使用的淨現金
基於股票的補償費用 9,577 9,064
營業租賃使用權資產的攤銷 3,257 2,821
折舊 1,543 1,294
證券的溢價(折價)攤銷(遞延),淨額 (2,176) (2,040)
經營資產和負債的變動:
預付費用和其他資產 (26) (878)
應付賬款 (35) 22
應計費用和其他負債 (729) 757
經營租賃負債 (3,061) (2,200)
淨現金流出活動 (44,836) (37,811)
投資活動產生的現金流量
證券到期收入 90,410 51,249
證券購買 (59,398) (51,895)
購買房產和設備 (1,868) (2,029)
投資活動提供的(使用的)淨現金 29,144 (2,675)
融資活動產生的現金流
股票期權行使所獲收益 415 23
員工股票購買計劃下普通股發行收益 289 92
融資活動提供的淨現金 704 115
現金、現金等價物和受限現金的淨增加(減少) (14,988) (40,371)
期初現金、現金等價物和受限現金 20,399 115,477
期末現金、現金等價物和受限現金 $ 5,411 $ 75,106

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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