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Canadian Spirit Resources Inc. Announces First Quarter 2022 Financial Results

Canadian Spirit Resources Inc. Announces First Quarter 2022 Financial Results

加拿大精神資源公司公佈2022年第一季度財務業績
GlobeNewswire ·  2022/05/30 18:35

CALGARY, Alberta, May 30, 2022 (GLOBE NEWSWIRE) -- Canadian Spirit Resources Inc. ("CSRI" or the "Corporation") (TSXV:SPI) (OTCBB:CSPUF) announces the release of its interim financial results and Management Discussion and Analysis ("MD&A"), for the three month period ended March 31, 2022.

阿爾伯塔省卡爾加里,2022年5月30日(環球通訊社)加拿大精神資源公司(“CSRI”或“公司”)(多倫多證券交易所股票代碼:SPI)(場外交易:CSPUF)宣佈公佈截至2022年3月31日止三個月的中期財務業績及管理層討論及分析(“MD&A”)。

First Quarter 2022
This news release summarizes information contained in the unaudited interim financial statements and MD&A for the three months ended March 31, 2022 and should not be considered a substitute for reading these full disclosure documents which are available on SEDAR at .

2022年第一季度
本新聞稿概述了截至2022年3月31日的三個月未經審計的中期財務報表和MD&A中包含的信息,不應被視為替代閲讀這些完整的披露文件,這些文件可在SEDAR上查閲,網址為。

The following summarizes certain selected financial data for the three months ended March 31, 2022:

以下是截至2022年3月31日的三個月的部分財務數據摘要:

(all amounts are presented in Canadian dollars, unless otherwise indicated)

(除非另有説明,否則所有金額均以加元列示)

  Three months ended
March 31,
  2022 2021
Natural gas sales $ -   $ -  
Operating costs   (41,449 )   (35,472 )
Operating netback $ (41,449 ) $ (35,472 )
Other income and gains   130,675     43  
Other Expenses   (311,250 )   (199,105 )
Net comprehensive loss for the period $ (222,024 ) $ (234,534 )
截至三個月
3月31日,
2022 2021
天然氣銷售 $ - $ -
運營成本 (41,449 ) (35,472 )
運營淨額回扣 $ (41,449 ) $ (35,472 )
其他收入和收益 130,675 43
其他費用 (311,250 ) (199,105 )
當期綜合虧損淨額 $ (222,024 ) $ (234,534 )

The Corporation's loss and comprehensive loss for the three months ended March 31, 2022 was $222,024 (March 31, 2021 - $234,534). When compared to the prior period the decrease in loss of $12,510 for the three months was mainly due to share-based compensation (non-cash stock options) of $32,328, Consulting fees and Professional fees (Audit and Legal) of $53,231, and Investor relations and filing fees of $11,048. Offsetting the cost increase of 118,122 as noted above, was a gain on the sale of idle equipment accounting for other income of $130,250.

該公司截至2022年3月31日的三個月的虧損和綜合虧損為222,024美元(2021年3月31日-234,534美元)。與上一期間相比,前三個月虧損減少12 510美元,主要原因是基於股票的薪酬(非現金股票期權)32 328美元,諮詢費和專業人員費用(審計和法律)53 231美元,以及投資者關係和備案費用11 048美元。如上所述,通過出售閒置設備產生的收益抵消了增加的118 122美元的費用,其他收入為130 250美元。

 
As of March 31,
As of December 31,
  2021 2020
Working Capital:    
Current assets $ 2,017,251   $ 1,354,860  
Current liabilities   (229,293 )   (445,368 )
Working capital   1,787,958     909,492  
Total assets $ 39,522,721   $ 38,997,891  
Shareholders' equity $ 37,520,693   $ 36,649,592  
Number of common shares outstanding   268,177,583     248,177,583  

截至3月31日,
截至12月31日,
2021 2020
營運資金:
流動資產 $ 2,017,251 $ 1,354,860
流動負債 (229,293 ) (445,368 )
營運資本 1,787,958 909,492
總資產 $ 39,522,721 $ 38,997,891
股東權益 $ 37,520,693 $ 36,649,592
已發行普通股數量 268,177,583 248,177,583

Issuance of Shares

發行股份

  • During the period ended March 31, 2022, issued 20,000,000 units at $0.0525 per share for gross proceeds of $1,050,000. Each unit consisted of one common share and one warrant exercisable into one common share at a price of $0.08 for 2 years.
  • 在截至2022年3月31日的期間,以每股0.0525美元的價格發行了20,000,000個單位,總收益為1,050,000美元。每個單位包括一股普通股和一股認股權證,可在兩年內以0.08美元的價格行使為一股普通股。

Information regarding CSRI is available on SEDAR at or the Corporation's website at .

有關CSRI的信息可在SEDAR或公司網站上獲得。

For further information, please contact:
Louisa DeCarlo
Telephone: (403) 618 2113
Email: louisa@danrichresources.com

如需更多信息,請聯繫:
路易莎·德卡洛
電話:(403)6182113
電子郵件:Louisa@danrichresource ces.com

The corporate information contained in this news release may contain forward-looking forecast information. The reader is cautioned that assumptions used in the preparation of such information, although considered reasonably accurate by CSRI at the time of preparation, may prove to be incorrect. The actual results achieved during the forecast period will vary from the information provided herein and the variations may be material. Consequently, there is no representation by CSRI that actual results achieved during the forecast period will be the same in whole or in part as those forecast.

本新聞稿中包含的公司信息可能包含前瞻性預測信息。請讀者注意,在編制此類信息時使用的假設,儘管CSRI在編制時認為相當準確,但可能被證明是不正確的。預測期內取得的實際結果將與本文提供的信息有所不同,這些變化可能是實質性的。因此,CSRI沒有表示在預測期內取得的實際成果將全部或部分與預測值相同。

NEITHER THE TSX VENTURE EXCHANGE NOR ITS REGULATION SERVICES PROVIDER
(AS THAT TERM IS DEFINED IN THE POLICIES OF THE TSX VENTURE EXCHANGE)
ACCEPTS RESPONSIBILITY FOR THE ADEQUACY OR ACCURACY OF THIS NEWS RELEASE

多倫多證券交易所創業板交易所及其監管服務提供商
(正如多倫多證券交易所創業板政策中對該術語的定義)
接受對本新聞稿的充分性或準確性的責任


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