Clairvest Reports Fiscal 2025 Second Quarter Results
Clairvest Reports Fiscal 2025 Second Quarter Results
TORONTO, Nov. 13, 2024 (GLOBE NEWSWIRE) -- Clairvest Group Inc. (TSX: CVG) today reported results for the fiscal 2025 second quarter and six months ended September 30, 2024. (All figures are in Canadian dollars unless otherwise stated)
多倫多,2024年11月13日(環球新聞)——Clairvest Group Inc.(tsx: CVG)今天公佈了截至2024年9月30日的2025財年第二季度及六個月的業績。(所有數字均以加元計,除非另有說明)
Highlights
亮點
- September 30, 2024 book value was $1,196.9 million or $84.06 per share compared with $1,186.2 million or $81.02 per share as at June 30, 2024
- Net income for the quarter ended September 30, 2024 was $39.0 million or $2.68 per share
- Net income for the six months ended September 30, 2024 was $62.9 million of $4.31 per share
- Clairvest and Clairvest Equity Partners V ("CEP V") completed the sale of Winters Bros. Waste Systems of Long Island ("Winters Bros. Long Island") realizing a 7.5x multiple of invested capital
- Clairvest repurchased for cancellation 404,020 shares for a total cost of $28.3 million
- Clairvest announces the addition of Les Viner to its board of directors
- 截至2024年9月30日的賬面價值爲119690萬加元,或每股84.06加元,而截至2024年6月30日的賬面價值爲118620萬加元,或每股81.02加元
- 截至2024年9月30日的季度淨利潤爲3900萬加元,或每股2.68加元
- 截至2024年9月30日的六個月淨利潤爲6290萬加元,或每股4.31加元
- Clairvest和Clairvest Equity Partners V("CEP V")完成了對長島溫特兄弟廢物管理公司("Winters Bros. Long Island")的出售,實現了投資資本的7.5倍收益
- Clairvest以2830萬美金的總成本回購了404,020股用於註銷。
- Clairvest宣佈Les Viner加入其董事會。
Clairvest's book value was $1,196.9 million or $84.06 per share as at September 30, 2024, compared with $1,186.2 million or $81.02 per share as at June 30, 2024. For the quarter ended September 30, 2024, Clairvest recorded net income of $39.0 million, or $2.68 per share, which was primarily driven by a net increase in the valuation of Clairvest's private equity investment portfolio in the waste management and gaming industries. Also during the quarter, Clairvest purchased and cancelled 404,020 common shares at an average price of $70 per share, or a total cost of $28.3 million, the majority of which were from a passive shareholder. The share cancellation added $0.37 per share to the book value.
截至2024年9月30日,Clairvest的賬面價值爲119690萬美金,即每股84.06美金,較2024年6月30日的118620萬美金或每股81.02美金有所增加。截止到2024年9月30日的季度,Clairvest實現淨利潤3900萬美金,即每股2.68美金,主要源於Clairvest在廢物管理和arvr遊戲行業的股權投資組合估值的淨增加。此外,在該季度,Clairvest以每股70美金的平均價格購買並註銷了404,020股普通股,總成本爲2830萬美金,其中大部分來自於一個被動股東。此股權註銷使每股賬面價值增加了0.37美金。
For the six months ended September 30, 2024, the net income was $62.9 million, or $4.31 per share. The net income for the six months was primarily driven by a net gain realized on Winters Bros. Long Island and an increase in the valuation of Clairvest's private equity investment portfolio over the corresponding period.
截至2024年9月30日的六個月內,淨利潤爲6290萬美金,即每股4.31美金。該六個月的淨利潤主要源於對Winters Bros. Long Island實現的淨收益,以及Clairvest的股權投資組合在相應期間的估值增加。
In July 2024, and as previously announced in the first quarter press release, Clairvest, CEP V and the Winters family sold Winters Bros. Long Island to Waste Management. At closing, Clairvest received proceeds totalling US$57.4 million. Subsequently in September 2024, certain residual assets not acquired by Waste Management in the aforementioned transaction were sold to another third party which resulted in additional cash proceeds totalling US$5.5 million for Clairvest. To date, Clairvest realized a 7.5x multiple of invested capital and an IRR of 24% on the investment in Winters Bros. Long Island over 9 years.
在2024年7月,正如之前在第一季度的新聞稿中宣佈的那樣,Clairvest、CEP V和Winters家族將Winters Bros. Long Island出售給廢物管理公司。在交易結束時,Clairvest獲得了總計5740萬美金的收益。隨後在2024年9月,一些在上述交易中未被廢物管理公司收購的剩餘資產被出售給其他第三方,給Clairvest帶來了額外的現金收益,總計550萬美金。至今,Clairvest在對Winters Bros. Long Island的投資中實現了7.5倍的投資資本回報和24%的內部收益率。
"We continue to be fully engaged in working with our partners to grow value as well as working with potential new partners to cement transactions. We are making progress on most fronts and dealing with our challenges as they come up," said Ken Rotman, CEO of Clairvest.
"我們繼續全力與合作伙伴合作,以增加價值,並與潛在的新合作伙伴合作以達成交易。我們在大多數方面都取得了進展,並在遇到挑戰時積極應對," Clairvest的CEO Ken Rotman說。
Summary of Financial Results – Unaudited | ||||
Financial Results |
Quarter ended | Six months ended | ||
September 30 | September 30 | |||
2024 | 2023 | 2024 | 2023 | |
($000's, except per share amounts) | $ | $ | $ | $ |
Net investment loss | (38,606) | (46,762) | (18,494) | (22,293) |
Net carried interest from Clairvest Equity Partners III and IV | (593) | 1,212 | 1,531 | 1,803 |
Distributions, interest income, dividends and fees | 93,725 | 14,311 | 110,428 | 26,120 |
Total expenses, excluding income taxes | 10,082 | 20,233 | 22,040 | 36,064 |
Net income (loss) and comprehensive income (loss) | 38,950 | (43,968) | 62,871 | (24,506) |
Basic and fully diluted net income (loss) per share | 2.68 | (2.93) | 4.31 | (1.63) |
財務結果摘要 – 未經審計 | ||||
財務結果 |
季度結束 | 截至六個月 | ||
9月30日 | 9月30日 | |||
2024 | 2023 | 2024 | 2023 | |
(000美元,除每股金額外) | $ | $ | $ | $ |
淨投資損失 | (38,606) | (46,762) | (18,494) | (22,293) |
來自Clairvest Equity Partners III和IV的淨收益權 | (593) | 1,212 | 1,531 | 1,803 |
分配、利息收入、分紅派息和費用 | 93,725 | 14,311 | 110,428 | 26,120 |
總開支,不包括所得稅 | 10,082 | 20,233 | 某些所得稅考慮因素 我們最近的20-F年度報告提供了有關該證券潛在投資者的某些稅務考慮因素的討論。適用的招股說明書可能還包含有關擬議招股說明書所涵蓋的證券相關的某些重要稅務考慮因素的信息。擬議投資者應在任何招股說明書中閱讀有關稅務的討論,並諮詢他們自己的稅務顧問,以了解他們自己的特定情況。 | 36,064 |
淨利潤及綜合收益(虧損) | 38,950 | (43,968) | 62,871 | (24,506) |
每股基本和完全攤薄淨利潤(虧損) | 2.68 | (2.93) | 4.31 | (1.63) |
Financial Position |
September 30 | March 31, |
2024 | 2024 | |
($000's, except share information and per share amounts) | $ | $ |
Total assets | 1,354,271 | 1,342,139 |
Total cash, cash equivalents, temporary investments and restricted cash | 319,649 | 330,193 |
Carried interest from Clairvest Equity Partners III and IV | 53,719 | 52,188 |
Corporate investments(1) | 894,135 | 870,660 |
Total liabilities | 157,393 | 165,842 |
Management participation from Clairvest Equity Partners III and IV | 42,643 | 41,506 |
Book value(2) | 1,196,878 | 1,176,297 |
Common shares outstanding | 14,237,631 | 14,673,701 |
Book value per share(2) | 84.06 | 80.16 |
財務狀況 |
9月30日 | 3月31日 |
2024 | 2024 | |
(單位:千美元,除股東信息和每股金額外) | $ | $ |
總資產 | 1,354,271 | 1,342,139 |
現金、現金等價物、暫時投資和受限現金總額 | 319,649 | 330,193 |
來自Clairvest Equity Partners III和IV的收益權 | 53,719 | 52,188 |
企業投資(1) | 894,135 | 870,660 |
總負債 | 157,393 | 165,842 |
Clairvest Equity Partners III 和 IV 的管理參與 | 42,643 | 41,506 |
賬面價值(2) | 1,196,878 | 1,176,297 |
普通股股份數 | 14,237,631 | 14,673,701 |
每股賬面價值(2) | 84.06 | 80.16 |
(1) Includes carried interest of $124,001 (March 31: $143,617) and management participation of $91,856 (March 31: $103,740) from Clairvest Equity Partners V and VI, and $151,349 (March 31: $90,973) in cash, cash equivalents and temporary investments held by Clairvest's acquisition entities.
(2) Book value is a Non-IFRS measure calculated as the value of total assets less the value of total liabilities.
(1) 包括來自Clairvest Equity Partners V和VI的收益分成$124,001(3月31日: $143,617)和管理參與$91,856(3月31日: $103,740),以及Clairvest的收購實體持有的現金、現金等價物和臨時投資$151,349(3月31日: $90,973)。
(2) 賬面價值是一個非國際財務報告準則的指標,計算方式爲總資產減去總負債的價值。
Clairvest's second quarter fiscal 2025 financial statements and MD&A are available on the SEDAR website at and the Clairvest website at .
Clairvest的2025財年第二季度基本報表和管理討論與分析可在SEDAR網站和Clairvest網站上獲取。
About Clairvest
Clairvest's mission is to partner with entrepreneurs to help them build strategically significant businesses. Founded in 1987 by a group of successful Canadian entrepreneurs, Clairvest is a top performing private equity management firm with over CAD $4.4 billion of capital under management. Clairvest invests its own capital and that of third parties through the Clairvest Equity Partners limited partnerships in owner-led businesses. Under the current management team, Clairvest has initiated investments in 66 different platform companies and generated top quartile performance over an extended period.
關於Clairvest
Clairvest的使命是與企業家合作,幫助他們建立具有戰略意義的業務。Clairvest成立於1987年,由一群成功的加拿大企業家創立,是一家表現優異的股權投資管理公司,管理超過44億加元的資本。Clairvest通過Clairvest Equity Partners有限合夥企業在擁有者主導的企業中投資自己的資本和第三方的資本。在當前管理團隊的帶領下,Clairvest已在66個不同的平台公司中進行投資,並在較長時間內產生了前四分之一的表現。
Contact Information
Stephanie Lo
Director of Investor Relations and Marketing
Clairvest Group Inc.
Tel: (416) 925-9270
Fax: (416) 925-5753
stephaniel@clairvest.com
聯繫信息
斯蒂芬妮·羅
投資者關係及營銷董事
克萊爾維斯特集團有限公司
電話: (416) 925-9270
傳真: (416) 925-5753
stephaniel@clairvest.com
Forward-looking Statements
This news release contains forward-looking statements with respect to Clairvest Group Inc., its subsidiaries, its CEP limited partnerships and their investments. These statements are based on current expectations and are subject to known and unknown risks, uncertainties and other factors which may cause the actual results, performance or achievements of Clairvest, its subsidiaries, its CEP limited partnerships and their investments to be materially different from any future results, performance or achievements expressed or implied by such forward-looking statements. Such factors include general and economic business conditions and regulatory risks. Clairvest is under no obligation to update any forward-looking statements contained herein should material facts change due to new information, future events or otherwise.
前瞻性聲明
本新聞稿包含關於Clairvest Group Inc.、其子公司、其CEP有限合夥企業及其投資的前瞻性陳述。這些陳述基於當前的預期,並受到已知和未知的風險、不確定性以及其他因素的影響,這些因素可能導致Clairvest、其子公司、其CEP有限合夥企業及其投資的實際結果、表現或成就與任何未來的結果、表現或成就存在重大差異,這些未來的結果、表現或成就被前瞻性陳述表達或暗示。這些因素包括一般和經濟商業條件以及監管風險。如果由於新信息、未來事件或其他原因,重大事實發生變化,Clairvest沒有義務更新此處包含的任何前瞻性陳述。