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SAIHEAT Limited Reports Unaudited Financial Results for the Six Months Ended June 30, 2024

SAIHEAT Limited Reports Unaudited Financial Results for the Six Months Ended June 30, 2024

SAIHEAt有限公司報告了截至2024年6月30日的未經審計財務業績
GlobeNewswire ·  2024/11/13 21:30

SINGAPORE, Nov. 13, 2024 (GLOBE NEWSWIRE) -- SAIHEAT Limited (f/k/a SAI.TECH Global Corporation) ("SAIHEAT" or the "Company") (NASDAQ: SAIH, SAITW), today reported unaudited financial results for the six months ended June 30, 2024.

新加坡,2024年11月13日(環球新聞通訊社)-- SAIHEAt Limited(前稱SAI.TECH全球公司)(「SAIHEAT」或「公司」)(納斯達克:SAIH,SAITW)今天公佈了截至2024年6月30日的六個月未經審計的財務結果。

Financial Highlights for the Six Months Ended June 30, 2024

截至2024年6月30日的六個月財務亮點

  • Total revenues for the six months ended June 30, 2024, were US$ 3.2 million, having increased 6% compared to the six months ended June 30, 2023.
  • 截至2024年6月30日的六個月總收入爲320萬美元,較2023年6月30日的六個月增加了6%。
  • Gross Margin for the six months ended June 30, 2024, was negative US$ 0.1 million, compared to gross profits of US$ 0.2 million for the six months ended June 30, 2023.
  • 截至2024年6月30日的六個月毛利率爲負10萬美元,而截至2023年6月30日的六個月毛利潤爲20萬美元。
  • Net losses for the six months ended June 30, 2024, was US$ 1.9 million compared to net losses of US$ 3.7 million for the six months ended June 30, 2023.
  • 截至2024年6月30日的六個月淨虧損爲190萬美元,而截至2023年6月30日的六個月淨虧損爲370萬美元。

Mr. Arthur Lee, Chairman and Chief Executive Officer of the Company, stated that, "Despite the reduction in block rewards from the April 'halving event', our total revenue have increased 6% compared to the six months ended June 30, 2023. Due primarily to the significant increase in the Bitcoin price, which has more than tripled since January 2023."

公司董事長兼首席執行官亞瑟·李(Mr. Arthur Lee)表示:「儘管由於4月的『減半事件』導致區塊獎勵減少,但我們的總收入與截至2023年6月30日的六個月相比增長了6%。這主要得益於比特幣價格的顯著上漲,自2023年1月以來已上漲超過三倍。」

Recent Developments

最近的進展

On-site Project Development Update in the U.S.

美國現場項目開發更新

  • We expanded our SAI NODE Marietta facility, initiated a scale-up that began in December 2023. This expansion included the strategic addition of 478 Bitmain bitcoin mining machines, increasing our hash rate capacity by approximately 68 PH/s. With this deployment, we now have around 150 PH/s operational hash rate for our self-mining operations, achieving a self-mining efficiency of approximately 27.3 J/TH.
    We signed a Memorandum of Understanding (MoU) with Idaho Competitive Aquatics, LLC in August 2024 to develop a model case of our Advanced Computing Center Ecosystem (ACCE), which is to utilize recycled computing heat as a replacement of nature gas heaters at the aquatic center. Upon the completion of the project, the new ACCE system is expected to eliminate CO2 emission from original nature gas heating by up to 96,000 pounds per month and lowering facility heating costs by over 40% immediately.
    We announced our latest All-in-One ACCE products, RACKCAB and HYDROCAB, which integrate server hosting system, CDU system and computing heat capture/recycling system into one standard cabinet. Our All-in-One ACCE product is developed as a low-cost and easy-to-install system for computing heat recycling. Both products are currently deployed and under installation at our customer.
  • 我們擴展了SAI NODE Marietta設施,啓動了自2023年12月開始的規模擴展。此次擴展包括戰略性增加478台比特幣礦機,預計將我們的哈希率能力增加約68 PH/s。通過這次部署,我們現在擁有大約150 PH/s的自礦操作哈希率,實現了約27.3 J/TH的自礦效率。
    我們在2024年8月與愛達荷競爭水域有限責任公司簽署了諒解備忘錄,旨在開發我們的愛文思控股計算中心生態系統(ACCE)的模型案例,利用回收的計算熱量替代水上中心的天然氣加熱器。項目完成後,新的ACCE系統預計每月將消除高達96,000磅的二氧化碳排放,立即降低設施供暖成本超過40%。
    我們發佈了最新的所有板塊一體化ACCE產品RACKCAb和HYDROCAb,將服務器託管系統、CDU系統和計算熱量捕獲/回收系統整合到一個標準櫃中。我們的所有板塊一體化ACCE產品被開發爲一種低成本和易於安裝的計算熱量回收系統。目前這兩個產品已部署並正在我們的客戶處安裝。

Presence at In-Person Event

參與線下活動

  • We participated in the 2024 SelectUSA Investment Summit in June. This prestigious event connects investors, companies, and industry experts, serving as a crucial platform for fostering business investment. Dr. Tao Wu showcased our groundbreaking initiatives, including our Computing Heat Recycling R&D Center in Marietta, Ohio, which features the innovative Advanced Computing Center Ecosystem (ACCE). Our participation underscores our commitment to introducing sustainable technology solutions to the U.S. market and advancing our strategic plan.
  • 我們參與了2024年SelectUSA投資峯會,該會議於6月舉行。這個享有盛譽的活動連接了投資者、企業和行業專家,是促進商業投資的重要平台。吳濤博士展示了我們的開創性舉措,包括我們位於俄亥俄州馬裏埃塔的計算熱回收研發中心,該中心擁有創新的愛文思控股計算中心生態系統(ACCE)。我們的參與凸顯了我們致力於向美國市場介紹可持續技術解決方案並推動我們的戰略計劃。

Community and Partnership Engagement

社區與夥伴關係互動

  • Our sponsored Computing Heat Recycle Center Education Program received a grant from the Marietta Community Foundation in May 2024 to support our continuing joint efforts to provide innovative learning opportunities for students while addressing food insecurity through produce grown in our computing heat recycling greenhouse.
  • We signed a Memorandum of Understanding with Al-Farabi Kazakh National University in June 2024, to advance educational initiatives and scientific research in Kazakhstan, focusing on joint programs and research projects that leverage our expertise in AI computing and sustainable energy solutions.
  • 我們贊助的計算熱回收中心教育計劃於2024年5月獲得了馬裏埃塔社區基金會的資助,以支持我們繼續共同努力爲學生提供創新學習機會,同時通過我們計算熱回收溫室中種植的農產品解決食品不安全問題。
  • 我們於2024年6月與阿法拉比哈薩克國立大學簽署諒解備忘錄,以推進在哈薩克斯坦的教育倡議和科學研究,專注於利用我們在人工智能計算和可持續能源解決方案方面的專業知識的聯合項目和研究項目。

HEATNUC Business Line Update

HEATNUC業務線更新

  • We signed two Memorandums of Understanding (MoUs) in July 2024, aimed at enhancing cooperation within the small modular reactor (SMR) industry.
  • We appointed François Morin as our Nuclear Energy Strategy Consultant in July 2024, bringing his vast experience from roles such as Director at the World Nuclear Association. Mr. Morin will focus on evaluating the company's expansion into the small modular reactor market, particularly in Asia and globally. His expertise will be instrumental in supporting our innovation and growth in the nuclear energy sector.
  • In August 2024, we became a member of the World Nuclear Association (WNA). As part of our membership, we participated in the World Nuclear Symposium 2024 held in September 2024.
  • In September 2024, we signed two MoUs that further solidify our position in the Middle Eastern nuclear and SMR markets. One MoU with Jiangsu Shentong Nuclear Equipment focuses on exporting control systems for nuclear power, and another with Shanghai Kaiquan Pump emphasizes joint production of nuclear and SMR equipment.
  • We signed two additional MoUs in October 2024, targeting further cooperation in the nuclear and SMR sectors. The MoU with Kinze Nuclear Innovation focuses on nuclear technology consulting and digitalization services, while the one with Jiangsu Jintonglingguang Nuclear Energy Technology aims to enhance the production of nuclear equipment.
  • In October 2024, we signed an MoU with Jiangsu Xuanrui Vibration Damping Equipment Co., focusing on product development and marketing in the large-scale nuclear power sector. This collaboration is set to enhance joint manufacturing and market expansion initiatives.
  • 我們在2024年7月簽署了兩份諒解備忘錄,旨在增強小型模塊反應堆(SMR)行業的合作。
  • 2024年7月,我們任命弗朗索瓦·莫蘭作爲我們的核能戰略顧問,利用他在世界核能協會擔任董事等職位的豐富經驗。莫蘭先生將專注於評估公司在小型模塊反應堆市場的擴張,特別是在亞洲和全球範圍內。他的專業知識將對支持我們在覈能行業的創新和增長至關重要。
  • 在2024年8月,我們成爲世界核能協會(WNA)的成員。作爲會員的一部分,我們參加了於2024年9月舉行的世界核能研討會2024。
  • 在2024年9月,我們簽署了兩份諒解備忘錄,進一步鞏固我們在中東核能和SMR市場的地位。其中一份與江蘇神通核設備的諒解備忘錄專注於出口核電控制項,另一份與上海凱泉泵業的諒解備忘錄強調共同生產核能和SMR設備。
  • 在2024年10月,我們簽署了兩份額外的諒解備忘錄,旨在進一步合作於核能和SMR領域。與Kinze核能創新的諒解備忘錄專注於核技術諮詢和數字化服務,而與江蘇金通凌光核能技術的諒解備忘錄旨在增強核設備的生產。
  • 在2024年10月,我們與江蘇璇銳減震設備有限公司簽署了一份諒解備忘錄,專注於大型核能領域的產品開發和市場營銷。此次合作旨在增強聯合制造和市場擴展計劃。

Financial Results for the Six Months Ended June 30, 2024

截至2024年6月30日的六個月財務業績

Revenues

營業收入

Sales of Products. Sales of products represents the sales of high-performance digital asset mining machines to end customers. The revenue from sales of products was $1.3 million for the six months ended June 30, 2024, decreased by $0.8 million, or 37% from $2.1 million for the six months ended June 30, 2023. The decrease was mainly due to slack market conditions for mining machines, coupled with a reduction in mining profit.

產品銷售. 產品銷售代表向最終客戶銷售高性能數字資產礦機。截止2024年6月30日的六個月內,產品銷售收入爲130萬,較2023年6月30日的210萬減少了80萬,減幅爲37%。減少的主要原因是礦機市場狀況不佳,以及挖礦利潤的下降。

Hosting Service. Hosting services includes all services related to hosting and daily maintenance of mining machines for customers. Our hosting revenue was derived from our hosting operations in Mexico, which was $0.05 million and $0.3 million for the six months ended June 30, 2024 and 2023, respectively. The decrease was mainly in connection with our hosting client gradually scaling down the operation in response to the reduction of bitcoin mining rewards after halving.

託管服務. 託管服務包括與客戶採礦機託管和日常維護相關的所有服務。我們的託管收入來源於我們在墨西哥的託管業務,2024年和2023年截至6月30日的六個月分別爲5萬和30萬。減少主要是由於我們的託管客戶逐漸縮減運營,以應對比特幣減半後挖礦獎勵的減少。

Mining Pool. Mining pool income includes revenues from the Company's self-owned sai.plus mining pool, representing mining rewards from sai.plus mining pool. The Company allocates mining rewards to each pool participant, mainly the hosting clients, net of the pool operator fees based on the sharing mechanism predetermined and records as cost of mining pool revenue. Our mining pool revenues were $0.07 million and $0.2 million, respectively, for the six months ended June 30, 2024, and June 30, 2023.

礦池挖礦池收入包括來自公司自有的sai.plus挖礦池的營業收入,這代表了來自sai.plus挖礦池的挖礦獎勵。公司根據預定的分享機制,將挖礦獎勵分配給每個池參與者,主要是託管客戶,扣除池運營商費用,並記錄爲挖礦池收入的成本。我們的挖礦池收入在截至2024年6月30日和2023年6月30日的六個月分別爲$7萬和$20萬。

Mining Revenue. Mining revenues represent mining rewards generated from the Company's self-owned mining machines. The mining revenues are mainly derived from our operations in Mexico beginning in 2022 and self-constructed in Marietta in 2023. Our mining revenue were $1.7 million and $0.4 million, respectively for the six months ended June 30, 2024, and June 30, 2023. We launched our self-constructed site in July 2023, in which we have filled 2.8 MW as of June 30, 2024.

挖礦收入礦業收入代表來自公司自有挖礦機器的挖礦獎勵。這些礦業收入主要來自我們自2022年以來在墨西哥的運營和自2023年在馬裏埃塔自建的設備。我們的礦業收入在截至2024年6月30日和2023年6月30日的六個月內分別爲$170萬和$40萬。我們在2023年7月啓動了自建地點,截至2024年6月30日,我們已經填充了2.8 MW。

Cost of Revenues

營業成本

Cost of revenues primarily included the cost for the purchase of high-performance digital asset mining machines, costs incurred for our self-mining activities, and the direct costs incurred for the provision of hosting services and mining rewards allocated to each provider of pool participant in exchange for their computing power contributed to the mining pool.

營業收入的成本主要包括購買高性能數字資產礦機的成本、我們自礦活動產生的費用,以及爲提供託管服務而產生的直接費用和分配給每個礦池參與者的挖礦獎勵,以換取他們爲礦池貢獻的計算能力。

The cost of revenues increased by $0.5 million or 17%, from $2.8 million for the six months ended June 30, 2023, to $3.3 million for the six months ended June 30, 2024. The increase is mainly due to a $1.7 million increase in cost of self-mining operation, partially offset by a $0.8 million decrease in cost for the purchase of high-performance digital asset mining machines, a $0.2 million decrease in hosting service and a $0.2 million decrease in mining pool in the first half 2024.

營業收入的成本增加了50萬或17%,從2023年6月30日止六個月的280萬增加到2024年6月30日止六個月的330萬。增加主要是由於自礦事件的成本增加了170萬,部分被購買高性能數字資產礦機成本減少了80萬、託管服務減少了20萬和挖礦池減少了20萬所抵消。

Gross Margin

毛利率

Our gross profit decreased by $0.3 million, from gross profit $0.2 million for the six months ended June 30, 2023, to a gross loss of $0.1 million for the six months ended June 30, 2024. Gross profit as a percentage of revenue ("gross margin") was 6% for the six months ended June 30, 2023, and gross loss as a percentage of revenue was 4% for the six months ended June 30, 2024. The decrease of gross margin was mainly due to a reduction in block rewards following the halving event in April 2024 and an increase in network difficulty.

我們的毛利潤減少了30萬,從2023年6月30日止六個月的毛利潤20萬,下降至2024年6月30日止六個月的毛虧損10萬。毛利潤佔營業收入的比例(「毛利率」)在2023年6月30日止六個月爲6%,而毛虧損佔營業收入的比例在2024年6月30日止六個月爲4%。毛利率的下降主要是由於2024年4月減半事件後塊獎勵的減少和網絡難度的增加。

Selling and Marketing Expenses

銷售和營銷費用

Our selling and marketing expenses primarily consisted of staff costs and depreciation expenses to participate in marketing activities. Selling and marketing expenses decreased by $0.53 million, or 82%, from $0.65 million for the six months ended June 30, 2023, to $0.12 million for the six months ended June 30, 2024. The decrease was mainly due to a $0.12 million decrease in depreciation expense, a $0.15 million decrease in marketing expense, and a $0.23 million decrease in incentive plan amortization that was launched in December 2022.

我們的銷售和營銷費用主要包括員工成本和折舊費用,以參加營銷活動。銷售和營銷費用從2023年6月30日的65萬減少了53萬,減少了82%,至2024年6月30日的12萬。這一減少主要是由於折舊費用減少了12萬,營銷費用減少了15萬,以及2012年12月推出的激勵計劃攤銷減少了23萬。

General and Administrative Expenses

一般和管理費用

Our general and administrative expenses mainly consisted of salaries and bonuses, office related expenses and professional service fees. General and administrative expenses decreased by $0.84 million, or 27%, from $3.1 million for the six months ended June 30, 2023, to $2.26 million for the six months ended June 30, 2024. The decrease was mainly attributable to a decrease of $0.67 million in incentive plan amortization that was launched in December 2022, a decrease of $0.05 million in salaries, a decrease of $0.12 million in office expense.

我們的管理和行政費用主要包括薪資和獎金、辦公室相關費用和專業服務費。管理和行政費用從2023年6月30日的310萬減少了84萬,減少了27%,至2024年6月30日的226萬。這一下降主要歸因於2012年12月啓動的激勵計劃攤銷減少了67萬,薪資減少了5萬,辦公室費用減少了12萬。

Research and Development Expenses

研發費用

Our research and development expenses mainly consisted of salaries, bonuses, and research related expenses. Research and development expenses decreased by $0.26 million, or 43%, from $0.6 million for the six months ended June 30, 2023, to $0.34 million for the six months ended June 30, 2024. The decrease was mainly attributable to the amortization of research and development employees' incentive plan that was launched in December 2022 and salaries.

我們的研發費用主要包括薪資、獎金和與研究相關的支出。研發費用從2023年6月30日結束的六個月的60萬降至2024年6月30日結束的六個月的34萬,減少了26萬,或43%。此降幅主要歸因於2022年12月啓動的研發員工激勵計劃的攤銷和薪資。

Other Income, net

其他收入約爲20萬美元,與2022年3月31日結束的三個月相比,其他收入爲380萬美元。其中,2023年3月31日結束的三個月的其他收入約爲30萬美元,這主要包括我們的債券公允價值變動所認定的30萬美元,被10萬美元的其他費用抵消,以解除與我們8月IPO相關的鎖倉限制。2022年3月31日結束的三個月的其他收入主要包括公認我們認股權證公允價值變動的220萬美元,以及認安全保障的公允價值變動的160萬美元。

Other income was $0.9 million for the six months ended June 30, 2024, which mainly comprises $0.89 million gain on changes in fair value of cryptocurrencies, $0.02 million gain on exchange.

截至2024年6月30日的六個月,其他收入爲90萬,主要包括89萬的加密貨幣公允價值變動收益和2萬的交易所收益。

Net loss

淨損失

As a result of the foregoing, we had a net loss of $3.7 million for the six months ended June 30, 2023, and a net loss of $1.9 million for the six months ended June 30, 2024.

因此,截至2023年6月30日的六個月內我們虧損370萬美元,截至2024年6月30日的六個月內虧損190萬美元。

Liquidity

流動性

As of June 30, 2024, cash and cash equivalents, restricted cash were US$ 1.9 million.

截至2024年6月30日,現金及現金等價物、受限現金爲190萬美元。

About SAIHEAT
SAIHEAT Limited (Nasdaq: SAIH) delivers integrated energy services for next-generation data centers. Its thermal module, HEATWIT, offers data center liquid cooling system and solutions for computing heat recycling. The power module, HEATNUC, focuses on global power resource development and modular nuclear power joint development. Formerly known as SAI.TECH Global Corporation, SAIHEAT became a publicly traded company on the Nasdaq Stock Market (NASDAQ) through a merger with TradeUP Global Corporation in May 2022. For more information on SAIHEAT, please visit

關於SAIHEAT
SAIHEAt有限公司(納斯達克代碼:SAIH)爲下一代數據中心提供綜合能源服務。其熱模塊HEATWIt提供數據中心液冷系統和計算熱回收解決方案。電力模塊HEATNUC專注於全球電力資源開發和模塊化核電聯合開發。SAIHEAt原名爲SAI.TECH Global Corporation,於2022年5月通過與TradeUP Global Corporation合併成爲納斯達克股票市場(NASDAQ)上市公司。有關SAIHEAt的更多信息,請訪問

Safe Harbor Statement
This press release may contain forward-looking statements within the meaning of the Private Securities Litigation Reform Act of 1995. The words "believe", "expect", "anticipate", "project", "targets", "optimistic", "confident that", "continue to", "predict", "intend", "aim", "will" or similar expressions are intended to identify forward-looking statements. All statements other than statements of historical fact are statements that may be deemed forward-looking statements. These forward-looking statements include, but not limited to, statements concerning SAIHEAT and the Company's operations, financial performance, and condition are based on current expectations, beliefs and assumptions which are subject to change at any time. SAIHEAT cautions that these statements by their nature involve risks and uncertainties, and actual results may differ materially depending on a variety of important factors such as government and stock exchange regulations, competition, political, economic, and social conditions around the world including those discussed in SAIHEAT's Form 20-F under the headings "Risk Factors", "Results of Operations" and "Business Overview" and other reports filed with the Securities and Exchange Commission from time to time. All forward-looking statements are applicable only as of the date it is made and SAIHEAT specifically disclaims any obligation to maintain or update the forward-looking information, whether of the nature contained in this release or otherwise, in the future.

安全港聲明
本新聞稿可能包含1995年私人證券訴訟改革法案意義上的前瞻性陳述。 "相信"、"期望"、"預期"、"項目"、"目標"、"樂觀"、"相信"、"繼續"、"預測"、"意圖"、"旨在"、"將"或類似的表達意在識別前瞻性陳述。除歷史事實陳述外,所有陳述均可視爲前瞻性陳述。這些前瞻性陳述包括但不限於關於SAIHEAt及其業務、財務表現和狀況的陳述,基於當前的預期、信念和假設,這些可能隨時改變。SAIHEAt警告稱,這些陳述本質上涉及風險和不確定性,實際結果可能因許多重要因素的不同而有實質性差異,比如政府和證券交易所的法規、競爭、全球政治、經濟和社會條件,包括那些在SAIHEAt的20-F表單中討論的「風險因素」、「運營結果」和「業務概述」標題下,以及不時向證券交易委員會提交的其他報告。所有前瞻性陳述僅適用於其發佈之日,SAIHEAt特別聲明無義務在未來維護或更新前瞻性信息,無論是本發佈中包含的性質還是其他。

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SAIHEAT Limited
UNAUDITED CONDENSED CONSOLIDATED BALANCE SHEETS
(In thousands, except for number of shares and per share data)
As of
December 31,
2023
As of
June 30,
2024
(US$) (US$)
Audited (Unaudited)
Assets
Current assets:
Cash and cash equivalents 3,176 1,884
Restricted cash 42
Accounts receivable 900 437
Inventories 44 7
Crypto Assets 6,709 6,382
Stablecoin assets 81 12
Deposits, prepayments and other current assets, net 1,341 1,647
Total current assets 12,251 10,411
Non-current assets:
Property and equipment, net 4,994 4,710
Operating lease right-of-use assets 830 705
Long term Assets 1,758
Total non-current assets: 5,824 7,173
Total assets 18,075 17,584
Liabilities and equity
Current liabilities:
Accounts payable 45 83
Operating lease liabilities-current 241 160
Accrued and other liabilities 359 255
Short term Borrowings 929
Commitments and contingent liabilities
Other payable and accrued liabilities 42 47
Total current liabilities 687 1,474
Non-current liabilities:
Operating lease liabilities-non-current 569 519
Total non-current liabilities 569 519
Total Liabilities 1,256 1,993
Shareholders' equity:
Class A Ordinary shares ($0.0001 par value; 330,369,366 shares authorized,
15,004,316 and 14,413,299 shares issued and outstanding in June 30, 2024 and
December 31, 2023.)
1 2
Class B Ordinary shares ($0.0001 par value; 9,630,634 shares authorized
and outstanding in June 30, 2024 and December 31, 2023.)
1 1
Additional paid-in capital 48,680 49,399
Accumulated deficit (31,345) (33,282)
Accumulated other comprehensive income/(loss) (518) (529)
Total shareholders' equity 16,819 15,591
Total Liabilities and shareholders' equity 18,075 17,584
SAIHEAt有限公司
未經審計的合併資產負債表
(單位:千,除股票數量和每股數據外)
截至
12月31日
2023
截至
6月30日
2024
(美元) (美元)
審計過的 (未經審計)
資產
流動資產:
現金及現金等價物 3,176 1,884
受限制現金 42
應收賬款 900 437
存貨 44 7
加密資產 6,709 6,382
穩定幣資產 81 12
存款、預付款和其他流動資產,淨值 1,341 1,647
總流動資產 12,251 10,411
非流動資產:
物業及設備(淨額) 4,994 4,710
經營租賃使用權資產 830 705
長期資產 1,758
總非流動資產: 5,824 7,173
總資產 18,075 17,584
負債和權益
流動負債:
應付賬款 45 83
經營租賃負債-流動 241 160
應計及其他負債 359 255
短期借款 929
承諾和或有負債
其他應付款和應計負債 42 47
總流動負債 687 1,474
非流動負債:
經營租賃負債-非流動 569 519
總非流動負債 569 519
總負債 1,256 1,993
股東權益:
A類普通股(面值$0.0001;授權發行330,369,366股,
截至2024年6月30日,已發行及流通的股票數量爲15,004,316和14,413,299。
截至2023年12月31日。
1 2
B類普通股(面值$0.0001;截至2024年6月30日和2023年12月31日,授權發行9,630,634股)
並以2024年6月30日和2023年12月31日的股票爲準。
1 1
額外實收資本 48,680 49,399
累計虧損 (31,345) (33,282)
累計其他綜合收益/(損失) (518) (529)
總股東權益 16,819 15,591
總負債和股東權益 18,075 17,584
SAIHEAT Limited
UNAUDITED CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS AND COMPREHENSIVE (LOSS)/INCOME
(In thousands, except for number of shares and per share data)
For the
Six Months Ended
June 30,
2023 2024
(US$) (US$)
(Unaudited) (Unaudited)
Revenues 3,026 3,204
Cost of revenues 2,847 3,319
Gross Profit/(Loss) 179 (115)
Sales and marketing expenses 652 123
General and administrative expenses 3,105 2,265
Research and development expenses 609 344
Impairment of long-lived assets
Total operating expenses 4,366 2,732
Loss from operations (4,187) (2,847)
Other income, net 462 910
Loss before income tax (3,725) (1,937)
Income tax expenses
Net loss (3,725) (1,937)
Other comprehensive loss
Foreign currency translation loss (131) (10)
Total comprehensive loss (3,856) (1,947)
Loss per ordinary share
Basic and diluted (0.1578) (0.0792)
Weighted average number of ordinary shares outstanding:
Basic & Diluted 23,611,768 24,472,089
SAIHEAt有限公司
未經審計的合併損益及綜合(虧損)/收入表
(以千爲單位,除股份數量和每股數據外)
對於
截至六個月
6月30日
2023 2024
(美元) (美元)
(未經審計) (未經審計)
營業收入 3,026 3,204
營業成本 2,847 3,319
毛利潤/(虧損) 179 (115)
銷售和市場費用 652 123
一般及行政費用 3,105 2,265
研發費用 609 344
長期資產減值
總營業費用 4,366 2,732
運營損失 (4,187) (2,847)
其他收入,淨額 462 910
稅前虧損 (3,725) (1,937)
所得稅費用
淨損失 (3,725) (1,937)
其他綜合損失
外幣翻譯損失 (131) (10)
總綜合損失 (3,856) (1,947)
每普通股虧損
基本和稀釋 (0.1578) (0.0792)
流通普通股的加權平均數量:
基礎與稀釋 23,611,768 24,472,089

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