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BluMetric Announces Fiscal Q3 2022 Financial Results and Grants Options

BluMetric Announces Fiscal Q3 2022 Financial Results and Grants Options

BluMetric宣佈2022財年第三季度財務結果和贈款選項
newsfile ·  2022/08/25 19:30

Ottawa, Ontario--(Newsfile Corp. - August 25, 2022) - BluMetric Environmental Inc. (TSXV: BLM), a full-service environmental consulting and engineering cleantech firm, announces its financial results for the third quarter ended June 30, 2022.

安大略省渥太華-(Newsfile Corp.-2022年8月25日)-提供全方位服務的環境諮詢和工程清潔技術公司BluMetric Environmental Inc.(多倫多證券交易所股票代碼:BLM)公佈了截至2022年6月30日的第三季度財務業績。

Financial Highlights

財務亮點

  • Revenue for the quarter ended June 30, 2022, was $8.4 million compared to $8.5 million for the quarter ended June 30, 2021. Revenue for the nine months ended June 30, 2022, was $24.4 million compared to $25.8 million for the nine months ended June 30, 2021.
  • Gross margin was 23% for the quarter and 24% for fiscal 2022 year to date, compared to 26% for the same quarter in the previous year and 27% for fiscal 2021 year to date.
  • EBITDA (see definition below) for Q3 2022 was $573,000 from $1.2 million in Q3 2021 and $2.0 million for year-to-date Q3 2022 compared to $4.0 million for year to date Q3 2021.
  • Operating expenses increased for the first nine months of fiscal 2022 to $4.2 million versus $3.5 million in the same period last year due to higher information technology costs related to licensing requirements and consulting costs. In addition, travel, tradeshow and marketing costs have increased as these were greatly reduced in FY2021 due to the COVID-19 global pandemic restrictions.
  • Net cash (see definition below) as at June 30, 2022 was $4.5 million, from net cash of $1.6 million at June 30, 2021.
  • Balance sheet remains strong and net cash position continues to increase.
  • 收入截至2022年6月30日的季度為840萬美元,而截至2021年6月30日的季度為850萬美元。截至2022年6月30日的9個月的收入為2440萬美元,而截至2021年6月30日的9個月的收入為2580萬美元。
  • 毛利率本季度為23%,2022財年至今為24%,而上一年同季度為26%,2021財年至今為27%。
  • EBITDA(見下文定義)2022年第三季度為573,000美元,而2021年第三季度為120萬美元,2022年迄今為200萬美元,而2021年第三季度為400萬美元。
  • 運營費用2022財年前9個月增加到420萬美元,而去年同期為350萬美元,原因是與許可要求和諮詢成本相關的信息技術成本上升。 此外,旅行、貿易展會和營銷成本也有所增加,因為由於新冠肺炎全球疫情限制,這些成本在2021財年大幅減少。
  • 現金淨額(見下文定義)截至2022年6月30日,淨現金為450萬美元,而2021年6月30日的淨現金為160萬美元。
  • 資產負債表保持強勁,淨現金頭寸繼續增加。

"As we advance past the pandemic, we are leveraging our extensive client base and as a result are seeing a return of opportunities in our four key markets," said Scott MacFabe, CEO of BluMetric.

BluMetric首席執行官斯科特·麥克法貝表示:“隨着我們渡過疫情,我們正在利用我們廣泛的客户基礎,因此在我們的四個關鍵市場看到機會的迴歸。”

The Company has made investments in its sales team and information technology that are expected to contribute to streamlining the sales cycle. In addition to these investments, BluMetric has started fabrication of its Mobile Wastewater Treatment Plant (MWWTP) for the DND Innovation for Defence Excellence and Security (IDEaS) Pop Up City competition set to take place in 2023. This system will form a resilient and agile part of the Company's future treatment solutions.

該公司已經對其銷售團隊和信息技術進行了投資,預計這些投資將有助於簡化銷售週期。除了這些投資,BluMetric還開始為將於2023年舉行的國防卓越與安全創新(IDEAS)彈出式城市比賽建造其移動污水處理廠(MWWTP)。該系統將成為公司未來治療解決方案中彈性和靈活的一部分。

Among the Company's accomplishments this quarter, it has been ranked #45 of Canada's top 100 defence companies, up from #55 the year before, reaffirming the Company as a significant service provider to the military.

在該公司本季度的業績中,該公司在加拿大前100家防務公司中排名第45位,高於前一年的第55位,重申了該公司作為軍方重要服務提供商的地位。

"We have a solid balance sheet and strong cash position, which provide us a confident basis to operate through economic headwinds and find ways to grow the business in the future."

我們擁有穩健的資產負債表和強大的現金狀況,這為我們提供了一個自信的基礎,可以在經濟逆風中運營,並找到未來業務增長的方法。

In March 2022, the shareholders of the Company approved amendments to the BluMetric Environmental Inc. Amended and Restated Stock Option Plan 2022 (the "Plan") to, among other things, increase the number of shares available under the Plan to 4,500,000 common shares of the Company and to provide for net exercise of options and a cashless exercise of options in certain circumstances.

2022年3月,公司股東批准了對BluMetric Environmental Inc.修訂和重訂的2022年股票期權計劃(“該計劃”)的修訂,其中包括將該計劃下的可用股票數量增加到公司普通股4,500,000股,並規定在某些情況下淨行使期權和無現金行使期權。

The Company announced today a grant of 2,669,000 stock options ("Options") for common shares to employee directors, officers and certain employees of the Company at an exercise price of $0.35 per share, with an expiry date of August 24, 2027. The Options granted will vest annually in equal instalments on each of the first, second and third anniversary dates from the date of grant. The terms of the Options granted are in accordance with the Plan. The Options granted are subject to TSX Venture Exchange approval.

公司今天宣佈,以每股0.35美元的行使價向公司僱員董事、高級管理人員和某些僱員授予2,669,000股普通股期權(“期權”),到期日為2027年8月24日。授予的期權將在授予之日起的第一、二和三週年日按年等額分期付款。授予的期權條款與該計劃一致。授予的期權有待多倫多證券交易所創業板交易所的批准。

Financial Table

財務表


Three Months Ended
June 30, 2022
Three Months Ended
June 30, 2021
Nine Months Ended
June 30, 2022
Nine Months Ended
June 30, 2021

($000) ($000) ($000) ($000)
Revenue 8,353 8,488 24,383 25,779
Gross profit 1,958 2,193 5,805 7,076
Gross margin 23% 26% 24% 27%
Operating expenses 1,514 1,147 4,233 3,497
Operating profit 445 1,046 1,572 3,579
Finance costs 29 40 85 281
Earnings before provision for income tax 416 1,005 1,487 3,298
Income tax expense 98 318 352 859
Net earnings 318 687 1,135 2,439
Earnings per share - basic and diluted 0.01 0.02 0.04 0.08
EBITDA1 573 1,198 1,954 4,036
Free cash flow2 1,823 (418) 1,597 1,814
Net cash3

4,517 1,632

截至三個月
2022年6月30日
截至三個月
2021年6月30日
九個月結束
2022年6月30日
九個月結束
2021年6月30日

($000) ($000) ($000) ($000)
收入 8,353 8,488 24,383 25,779
毛利 1,958 2,193 5,805 7,076
毛利率 23% 26% 24% 27%
運營費用 1,514 1,147 4,233 3,497
營業利潤 445 1,046 1,572 3,579
融資成本 29 40 85 281
扣除所得税準備前收益 416 1,005 1,487 3,298
所得税費用 98 318 352 859
淨收益 318 687 1,135 2,439
每股收益--基本收益和稀釋後收益 0.01 0.02 0.04 0.08
EBITDA1 573 1,198 1,954 4,036
自由現金流2 1,823 (418) 1,597 1,814
現金淨額3

4,517 1,632


Note 1: EBITDA is a non-IFRS measure and is calculated as net income before interest expense, income taxes, depreciation, and amortization.


注1:EBITDA為非國際財務報告準則計量,按扣除利息支出、所得税、折舊及攤銷前的淨收入計算。

Note 2: Free cash flow is a non-IFRS measure and is calculated as operating cash flows less capital expenditures and net payment of lease obligations.

注2:自由現金流量是非“國際財務報告準則”的計量,計算方法為經營現金流量減去資本支出和租賃債務的淨付款。

Note 3: Net cash is a non-IFRS measure and is calculated as cash less total debt excluding lease liabilities.

注3:現金淨額是非《國際財務報告準則》的衡量標準,計算方法為現金減去不包括租賃負債的總債務。

The full results are available at .

完整的結果可在上查閲。

Investor conference call on Monday, August 29, 2022

2022年8月29日(星期一)的投資者電話會議

BluMetric's quarterly investor conference call will take place on Monday, August 29 at 1PM Eastern time. To join the call, please dial 1-888-664-6392 (Toll-Free North America) and enter confirmation number 34695306.

BluMetric的季度投資者電話會議將於美國東部時間8月29日星期一下午1點。要加入通話,請撥打1-888-664-6392(免費北美)並輸入確認號碼34695306。

About BluMetric Environmental Inc.

BluMetric環境公司簡介

BluMetric Environmental Inc. is a publicly traded environmental consulting and engineering company with expertise across professional and trade disciplines and technologies that allow for the design, fabrication and delivery of sustainable solutions to environmental and water challenges. BluMetric has more than 170 employees operating in ten offices and over 40 years of expertise. Headquartered in Ottawa, Ontario, BluMetric's team of industry experts serves Commercial and Industrial, Military, Mining and Government clients in Canada and the United States.

BluMetric環境公司是一家上市的環境諮詢和工程公司,擁有跨專業和貿易學科和技術的專業知識,能夠設計、製造和提供可持續的解決方案,以應對環境和水方面的挑戰。BluMetric擁有170多名員工,在10個辦事處開展業務,擁有40多年的專業經驗。BluMetric的行業專家團隊總部設在安大略省渥太華,為加拿大和美國的商業、工業、軍事、採礦和政府客户提供服務。

For more information, visit or please contact:

欲瞭解更多信息,請訪問或聯繫:

Scott MacFabe, CEO
BluMetric Environmental Inc.
Tel: 613.839.3053
Email: smacfabe@blumetric.ca
Vivian Karaiskos, CFO
BluMetric Environmental Inc.
Tel: 613.839.3053
Email: vkaraiskos@blumetric.ca

斯科特·麥克法貝,首席執行官
BluMetric環境公司。
電話:613.839.3053
電子郵件:smacfabe@blumetric.ca
維維安·卡萊斯科斯,首席財務官
BluMetric環境公司。
電話:613.839.3053
電子郵件:vkaraiskos@blumetric.ca

Forward-Looking Statements

前瞻性陳述

Some of the statements in this press release, including those relating to the Company's quarterly and annual results, future products, opportunities and cost initiatives, strategies, and other statements that are predictive in nature, that depend upon or refer to future events or conditions, or that include words such as "expects", "anticipates", "intends", "plans", "believes", "estimates", or similar expressions, are forward-looking statements within the meaning of applicable Canadian securities laws. Forward-looking statements include, without limitation, the information concerning possible or assumed future results of operations of the Company. These statements are not historical facts but instead represent only the Company's expectations, estimates, and projections regarding future events. By their nature, forward-looking statements require us to make assumptions and are subject to inherent risks and uncertainties. We caution readers of this news release not to place undue reliance on our forward-looking statements as a number of factors could cause actual results or conditions to differ materially from current expectations. Please refer to the risks set forth in the Company's most recent annual MD&A and the Company's continuous disclosure documents that can be found on SEDAR at . The Company does not intend, and disclaims any obligation, except as required by law, to update or revise any forward-looking statements whether as a result of new information, future events or otherwise.

本新聞稿中的一些陳述,包括與公司的季度和年度業績、未來產品、機會和成本計劃、戰略以及其他具有預測性、取決於或提及未來事件或條件的陳述有關的陳述,或包含諸如“預期”、“預期”、“打算”、“計劃”、“相信”、“估計”或類似表述的陳述,均屬前瞻性陳述,符合適用的加拿大證券法的含義。前瞻性陳述包括但不限於有關公司未來可能或假定的經營結果的信息。這些陳述不是歷史事實,而僅代表公司對未來事件的預期、估計和預測。就其性質而言,前瞻性陳述要求我們做出假設,並受到固有風險和不確定性的影響。我們告誡本新聞稿的讀者不要過度依賴我們的前瞻性陳述,因為許多因素可能會導致實際結果或情況與當前的預期大不相同。請參考公司最新的年度MD&A和公司的持續披露文件中列出的風險,這些文件可以在SEDAR上找到,網址為。公司不打算、也不承擔任何義務,除非法律要求,否則不會因新信息、未來事件或其他原因而更新或修改任何前瞻性陳述。

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 release.

多倫多證券交易所創業板交易所及其監管服務提供商(該術語在多倫多證券交易所的政策中定義)均不對本新聞稿的充分性或準確性承擔責任。

To view the source version of this press release, please visit

要查看本新聞稿的源版本,請訪問

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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