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ParkerVision Reports First Quarter 2024 Results

ParkerVision Reports First Quarter 2024 Results

ParkerVision 公佈2024年第一季度業績
Accesswire ·  05/14 16:01

JACKSONVILLE, FL / ACCESSWIRE / May 14, 2024 / ParkerVision, Inc. (OTCQB:PRKR) ("ParkerVision" or the "Company"), a developer and marketer of technologies and products for wireless applications, today announced results for the three months ended March 31, 2024.

佛羅里達州傑克遜維爾/ACCESSWIRE/2024年5月14日/無線應用技術和產品的開發商和營銷商ParkerVision, Inc.(OTCQB: PRKR)(“ParkerVision” 或 “公司”)今天公佈了截至2024年3月31日的三個月業績。

2024 Summary and Recent Developments

2024 年總結和最新動態

  • The Company is awaiting a decision from the United States Court of Appeals for the Federal Circuit (CAFC) following the November 6, 2023 oral arguments in ParkerVision v. Qualcomm (Middle District of Florida - Orlando).
  • In January 2024, the Company received favorable claim construction rulings in its patent infringement actions against MediaTek and Realtek in the Western District of Texas.
    • MediaTek is scheduled for a jury trial in December 2024.
    • Realtek is scheduled for a jury trial in January 2025.
  • A combined claim construction hearing is scheduled in mid-June 2024 for pending actions against Texas Instruments, NXP Semiconductors and the second action against MediaTek.
  • 繼2023年11月6日的口頭辯論之後,該公司正在等待美國聯邦巡迴上訴法院(CAFC)的裁決 ParkerVision訴高通公司案(佛羅里達州中區——奧蘭多)。
  • 2024年1月,該公司在德克薩斯州西區針對聯發科和瑞昱的專利侵權訴訟中獲得了有利的索賠解釋裁決。
    • 聯發科定於2024年12月進行陪審團審判。
    • 瑞昱計劃於2025年1月進行陪審團審判。
  • 針對德州儀器、恩智浦半導體的未決訴訟以及針對聯發科的第二次訴訟,定於2024年6月中旬舉行合併索賠解釋聽證會。

Jeffrey Parker, Chairman and Chief Executive Officer, commented, "During the next eighteen months, we have four scheduled jury trials in our patent infringement cases in the Western District of Texas, beginning with MediaTek in December 2024. Additionally, we have a number of cases currently stayed, including patent infringement actions against Qualcomm and Apple in the Middle District of Florida, LG in New Jersey, and TCL and LGE in the Western District of Texas. These cases are stayed pending the outcome of other active cases. We continue to be willing to negotiate a fair business arrangement with each of the defendants, however, we are also eager to present our facts to a jury."

董事長兼首席執行官傑弗裏·帕克評論說:“在接下來的十八個月中,我們計劃在德克薩斯州西區對專利侵權案件進行四次陪審團審判,首先是2024年12月的聯發科。此外,我們目前還有一些案件待處理,包括在佛羅里達州中區對高通和蘋果提起的專利侵權訴訟,在新澤西州針對LG的專利侵權訴訟,以及在德克薩斯州西區針對TCL和LGE的專利侵權訴訟。這些案件暫時擱置,等待其他未決案件的結論。我們仍然願意與每位被告談判一項公平的商業安排,但是,我們也渴望向陪審團陳述我們的事實。”

Financial Results

財務業績

  • ParkerVision reported a net loss for the first quarter of 2024 of $0.7 million, or $0.01 per common share, compared to net income of $13.1 million, or $0.16 per common share for the first quarter of 2023. The 2023 net income was the result of a $25 million patent license and settlement agreement entered into in February 2023, net of contingent fees and expenses.
  • The Company used $0.8 million in cash for operations for the first quarter of 2024, ending the quarter with $1.7 million in cash and cash equivalents.
  • 派克威視報告稱,2024年第一季度的淨虧損爲70萬美元,合每股普通股虧損0.01美元,而2023年第一季度的淨收益爲1,310萬美元,合每股普通股虧損0.16美元。2023年的淨收入是2023年2月簽訂的2500萬美元專利許可和和解協議的結果,其中不包括或有費用和支出。
  • 該公司在2024年第一季度使用了80萬澳元的現金進行運營,本季度末的現金及現金等價物爲170萬美元。

About ParkerVision

關於 ParkerVision

ParkerVision, Inc. invents, develops and licenses cutting-edge, proprietary radio-frequency (RF) technologies that enable wireless solution providers to make and sell advanced wireless communication products. ParkerVision is engaged in a number of patent enforcement actions in the U.S. to protect patented rights that it believes are broadly infringed by others. For more information, please visit . (PRKR-I)

ParkerVision, Inc. 發明、開發和許可尖端的專有射頻 (RF) 技術,使無線解決方案提供商能夠製造和銷售先進的無線通信產品。ParkerVision在美國參與了多項專利執法行動,以保護其認爲受到他人廣泛侵犯的專利權。欲了解更多信息,請訪問。 (PRKR-I)

Safe Harbor Statement

安全港聲明

This press release contains forward-looking statements within the meaning of Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Act of 1934, as amended. All statements, other than statements of historical fact, included or incorporated in this press release are forward-looking statements. The words "believe," and "hopeful," and similar expressions are intended to identify these forward-looking statements. The Company does not guarantee that it will actually achieve the plans, intentions or expectations disclosed in its forward-looking statements and you should not place undue reliance on the Company's forward-looking statements.

本新聞稿包含經修訂的1933年《證券法》第27A條和經修訂的1934年《證券法》第21E條所指的前瞻性陳述。除歷史事實陳述外,本新聞稿中包含或納入的所有陳述均爲前瞻性陳述。“相信” 和 “希望” 這兩個詞以及類似的表述旨在識別這些前瞻性陳述。公司不保證它會真正實現其前瞻性陳述中披露的計劃、意圖或預期,您不應過分依賴公司的前瞻性陳述。

Forward-looking statements involve risks and uncertainties, and actual results could vary materially from these forward-looking statements. There are a number of important factors that could cause the Company's actual results to differ materially from those indicated or implied by its forward-looking statements, including those important factors set forth under the caption "Risk Factors" in the Company's Annual Report on Form 10-K for the year ended December 31, 2023 and disclosures in the Company's Quarterly Reports on Form 10-Q for the quarter ended March 31, 2024, filed with the Securities and Exchange Commission. Although the Company may elect to do so at some point in the future, the Company does not assume any obligation to update any forward-looking statement and it disclaims any intention or obligation to update or revise any forward-looking statement, whether as a result of new information, future events, or otherwise.

前瞻性陳述涉及風險和不確定性,實際結果可能與這些前瞻性陳述存在重大差異。有許多重要因素可能導致公司的實際業績與其前瞻性陳述所示或暗示的業績存在重大差異,包括公司截至2023年12月31日的10-K表年度報告中 “風險因素” 標題下列出的重要因素,以及公司向美國證券交易委員會提交的截至2024年3月31日的季度10-Q表季度報告中的披露。儘管公司可能會選擇在未來的某個時候這樣做,但公司不承擔任何更新任何前瞻性陳述的義務,也不會有任何更新或修改任何前瞻性陳述的意圖或義務,無論是由於新信息、未來事件還是其他原因。

Contact:

聯繫人:

Cindy French
Chief Financial Officer
ParkerVision, Inc
cfrench@parkervision.com

辛迪·法蘭西
首席財務官
ParkerVision, Inc
cfrench@parkervision.com

(TABLES FOLLOW)

(表見下文)

ParkerVision, Inc.
Balance Sheet Highlights

ParkerVision, Inc.
資產負債表亮點

(unaudited)
(in thousands)
March 31, 2024 December 31, 2023
Cash and cash equivalents
$ 1,734 $ 2,560
Prepaid expenses and other current assets
96 95
Intangible assets & other noncurrent assets
1,308 1,368
Total assets
3,138 4,023
Current liabilities
2,537 2,289
Contingent payment obligations
36,800 37,020
Convertible notes, net of current portion
3,518 3,893
Other long-term liabilities
306 340
Shareholders' deficit
(40,023) (39,519)
Total liabilities and shareholders' deficit
$ 3,138 $ 4,023
(未經審計)
(以千計)
2024年3月31日 2023年12月31日
現金和現金等價物
$ 1,734 $ 2,560
預付費用和其他流動資產
96 95
無形資產和其他非流動資產
1,308 1,368
總資產
3,138 4,023
流動負債
2,537 2,289
或有付款義務
36,800 37,020
可轉換票據,扣除流動部分
3,518 3,893
其他長期負債
306 340
股東赤字
(40,023) (39,519)
負債總額和股東赤字
$ 3,138 $ 4,023

ParkerVision, Inc.
Summary Results of Operations (unaudited)

ParkerVision, Inc.
經營業績摘要(未經審計)

Three Months Ended
(in thousands, except per share amounts)
March 31,
2024 2023
Licensing revenue
$ - $ 25,000
Cost of sales
(59) (43)
Gross margin
(59) 24,957
Selling, general and administrative expenses
773 12,085
Total operating expenses
773 12,085
Interest expense and other
(81) (106)
Change in fair value of contingent payment obligations
220 349
Total other income (expense), net
139 243
Net (loss) income
$ (693) $ 13,115
Basic (loss) earnings per common share
$ (0.01) $ 0.16
Diluted (loss) earnings per common share
$ (0.01) $ 0.11
Weighted average shares outstanding
Basic
88,164 83,968
Diluted
88,164 121,696
三個月已結束
(以千計,每股金額除外)
3月31日
2024 2023
許可收入
$ - $ 25000
銷售成本
(59) (43)
毛利率
(59) 24,957
銷售、一般和管理費用
773 12,085
運營費用總額
773 12,085
利息支出和其他
(81) (106)
或有付款債務公允價值的變動
220 349
其他收入(支出)總額,淨額
139 243
淨(虧損)收入
$ (693) $ 13,115
普通股每股基本(虧損)收益
$ (0.01) $ 0.16
攤薄(虧損)普通股每股收益
$ (0.01) $ 0.11
加權平均已發行股數
基本
88,164 83,968
稀釋
88,164 121,696

ParkerVision, Inc.
Summary of Cash Flows
(unaudited)

ParkerVision, Inc.
現金流摘要
(未經審計)

Three Months Ended
(in thousands)
March 31,
2024 2023
Net cash (used in) provided by operating activities
$ (793) $ 13,154
Net cash used in investing activities
- -
Net cash (used in) provided by financing activities
(33) 797
Net (decrease) increase in cash and cash equivalents and restricted cash
(826) 13,951
Cash and cash equivalents and restricted cash - beginning of period
2,560 109
Cash and cash equivalents and restricted cash - end of period
$ 1,734 $ 14,060
三個月已結束
(以千計)
3月31日
2024 2023
經營活動提供的(用於)淨現金
$ (793) $ 13,154
用於投資活動的淨現金
- -
融資活動提供的(用於)淨現金
(33) 797
現金和現金等價物及限制性現金淨增加(減少)
(826) 13,951
現金和現金等價物以及限制性現金-期初
2,560 109
現金和現金等價物以及限制性現金-期末
$ 1,734 $ 14,060

SOURCE: ParkerVision, Inc.

來源:ParkerVision, Inc.


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