Biotricity Produces Largest Inventory in Its History to Meet Accelerated Demand
Biotricity Produces Largest Inventory in Its History to Meet Accelerated Demand
Company Receives Capital Needed from its Term Lender and Existing Investors to Reach Profitability without any need for future financing.
公司从其定期贷方和现有投资者那里获得了实现盈利所需的资金,无需未来融资。
REDWOOD CITY, Calif., Dec. 27, 2024 /PRNewswire/ -- Biotricity Inc. (OTCQB: BTCY) ("Biotricity" or the "Company"), a Technology-as-a-Service (TaaS) company operating in the remote cardiac monitor sector of consumer healthcare, today announced that it has completed a series of financings that bolster the Company's financial health, reduce execution risk, and provide it with the necessary resources to achieve profitability.
加利福尼亚州红木城,2024年12月27日 /PRNewswire/ -- Biotricity Inc. (OTCQB: BTCY)("Biotricity"或"公司"),一家在消费医疗的远程心脏监测领域运营的科技即服务(TaaS)公司,今天宣布已完成一系列融资,以增强公司的财务健康,降低执行风险,并为实现盈利提供必要资源。
Dr. Waqaas Al-Siddiq, Biotricity's Founder & CEO, explains: "While continuing on our mission to produce transformative healthcare technologies, we have demonstrated a strong commitment to growth and operational efficiency through innovation, automation and financial discipline, driving revenue and margins on our path to profitability. We also recently announced the significant achievement of positive Free Cash Flow, one of the key metrics towards profitability is Free Cash Flow. In so doing, we received an added vote of confidence from our investors and our largest term lender."
Biotricity的创始人兼首席执行官Waqaas Al-Siddiq博士解释道:"在继续我们的使命,生产变革性医疗技术的同时,我们通过创新、自动化和财务纪律,展现出对增长和运营效率的强烈承诺,从而在实现盈利的道路上推动营业收入和利润率。我们最近还宣布了积极的自由现金流的重要成就,自由现金流是实现盈利的关键指标之一。在此过程中,我们获得了投资者和我们最大的定期贷方的额外信任投票。"
Company has all the capital needed to achieve profitability with no need for any future financing.
公司拥有实现盈利所需的所有资本,无需未来融资。
As disclosed within the financial filing of our most recent quarter, the Company added $811 thousand dollars of capital in the form of promissory and convertible promissory notes, thereby more than matching $635 thousand of additional term loan proceeds from its term loan lender. The term loan lender also provided interest relief through the capitalization of $945 thousand due on the Company's pre-existing term loan.
根据我们最近一个季度的财务报告,公司以承诺票据和可转换承诺票据的形式增加了81.1万美元的资本,超过了来自其定期贷款贷方的63.5万美元的额外定期贷款收益。定期贷款贷方还通过将到期的94.5万美元资本化,提供了利息减免。
Al-Siddiq added: "This capital support has allowed the Company to invest in its largest manufacturing order to date, which will allow it to fulfill anticipated sales orders in calendar 2025. This support and the added revenue that will flow from selling the additional inventory and the connected SaaS-based technology sales that those will generate, provides the Company with enough capital to augment its positive Free Cash Flows and achieve its goal of full profitability within the next calendar year. Stated differently, Biotricity has all the inventory and cash resources to achieve profitability without any need for future financing.
Al-Siddiq补充道:"这笔资本支持使公司能够投资于迄今为止最大的制造订单,这将使其能够满足2025年日历年内预期的销售订单。这样的支持以及通过销售额外库存和与之相关的基于SaaS的技术销售所带来的附加营业收入,给予公司足够的资本来增强其正的自由现金流,并在下一个日历年内实现全面盈利。换句话说,Biotricity拥有实现盈利所需的所有库存和现金资源,无需未来融资。"
"The most exciting part of our story is that we have achieved economies of scale and efficiencies so that as revenues grow, our expenses will grow at a much lower pace. Our proprietary AI workflow engine has already improved our operational capacity by 50% with an expected further improvement of 15%. This translates to significantly reduced operational expense increases."
我们故事中最激动人心的部分是,我们实现了规模经济和效率提升,因此随着营业收入的增长,营业费用的增长速度将大大降低。我们的专有人工智能工作流引擎已经提高了我们50%的运营能力,预计还将进一步提升15%。这意味着运营费用的增长将显著减少。
We expect further operational improvements as we continue to enhance and improve our proprietary AI systems. Our next generation AI cloud will improve COGS across our entire SaaS business by 5% post FDA clearance, providing an additional boost to future profits.
我们期待进一步的运营改善,因为我们将继续增强和改进我们的专有人工智能系统。我们下一代人工智能云将在FDA批准后使我们整个SaaS-云计算业务的销售成本降低5%,为未来的利润提供额外的推动。
About Biotricity Inc.
Biotricity is reforming the healthcare market by bridging the gap in remote monitoring and chronic care management. Doctors and patients trust Biotricity's unparalleled standard for preventive & personal care, including diagnostic and post-diagnostic solutions for chronic conditions. The Company develops comprehensive remote health monitoring solutions for the medical and consumer markets. To learn more, visit .
关于Biotricity Inc.
Biotricity正在通过弥合远程监测和慢性病管理之间的差距来改革医疗市场。医生和患者信任Biotricity在预防和个人护理方面无与伦比的标准,包括慢性病的诊断和后期诊断解决方案。该公司为医疗和消费市场开发综合的远程健康监测解决方案。想了解更多信息,请访问。
Non-GAAP Measures
Free Cash Flow is a non-generally accepted accounting principle ("non-GAAP") measure that represents the cash that the Company generated from its operations after deducting cash used on operating expenses and any capital asset spending. Unlike other accounting measures such as earnings or net income, this measure of profitability excludes non-cash expenses, but includes spending on any capital assets, as well as changes in working capital on the Company's Balance Sheet. Free Cash Flow therefore represents the cash that the Company has generated that is available to repay creditors and pay interest or dividends to lenders and investors.
非公认会计准则指标
自由现金流是一种非一般公认会计原则("non-GAAP")的指标,代表公司在扣除营业费用和任何资本资产支出后从运营中产生的现金。与其他会计指标(如收益或净利润)不同,这种盈利能力的衡量方式不包括非现金费用,但包括对任何资本资产的支出,以及在公司资产负债表上流动资本的变化。因此,自由现金流代表公司创造的可用于偿还债权人以及支付利息或分红派息给贷款人和投资者的现金。
We provide non-GAAP financial information to enhance the understanding of Biotricity's GAAP financial information; it should be considered by the reader in addition to, but not instead of, the financial statements prepared in accordance with GAAP. We believe that providing these non-GAAP measures in addition to the GAAP measures allows management, investors and other users of our financial information to more fully and accurately assess business performance. The non-GAAP financial information presented may be determined or calculated differently by other companies and may not be directly comparable to that of other companies.
我们提供非GAAP财务信息,以增强对Biotricity GAAP财务信息的理解;读者应考虑到这一点,并与根据GAAP编制的财务报表一起考虑。我们相信,提供这些非GAAP指标与GAAP指标相结合,能够让管理层、投资者和其他财务信息的用户更全面、准确地评估业务表现。所提供的非GAAP财务信息可能由其他公司以不同方式确定或计算,可能与其他公司的信息不可直接比较。
Important Cautions Regarding Forward-Looking Statements
Any statements contained in this press release that do not describe historical facts may constitute forward-looking statements. Forward-looking statements, which involve assumptions and describe our future plans, strategies, and expectations, are generally identifiable by use of the words "may," "should," "would," "will," "could," "scheduled," "expect," "anticipate," "estimate," "believe," "intend," "seek," "project," or "goal" or the negative of these words or other variations on these words or comparable terminology. Forward-looking statements may include, without limitation, statements regarding (i) the plans, objectives and goals of management for future operations, including plans, objectives or goals relating to the design, development and commercialization of Bioflux or any of the Company's other proposed products or services, (ii) a projection of income (including income/loss), earnings (including earnings/loss) per share, capital expenditures, dividends, capital structure or other financial items, (iii) the Company's future financial performance, (iv) the regulatory regime in which the Company operates or intends to operate and (v) the assumptions underlying or relating to any statement described in points (i), (ii), (iii) or (iv) above. Such forward-looking statements are not meant to predict or guarantee actual results, performance, events or circumstances and may not be realized because they are based upon the Company's current projections, plans, objectives, beliefs, expectations, estimates and assumptions and are subject to a number of risks and uncertainties and other influences, many of which the Company has no control over. Actual results and the timing of certain events and circumstances may differ materially from those described by the forward-looking statements as a result of these risks and uncertainties. Factors that may influence or contribute to the inaccuracy of the forward-looking statements or cause actual results to differ materially from expected or desired results may include, without limitation, the Company's inability to obtain additional financing, the significant length of time and resources associated with the development of its products and related insufficient cash flows and resulting illiquidity, the Company's inability to expand the Company's business, significant government regulation of medical devices and the healthcare industry, lack of product diversification, existing or increased competition, results of arbitration and litigation, stock volatility and illiquidity, and the Company's failure to implement the Company's business plans or strategies. These and other factors are identified and described in more detail in the Company's filings with the SEC. There cannot be any assurance that the Company will ever become profitable. The Company assumes no obligation to update any forward-looking statements in order to reflect any event or circumstance that may arise after the date of this release.
关于前瞻性陈述的重要提醒
本新闻稿中包含的任何未描述历史事实的陈述可能构成前瞻性陈述。前瞻性陈述涉及假设,并描述我们的未来计划、策略和期望,通常可以通过使用“可能”、“应该”、“将”、“会”、“能够”、“预定”、“期望”、“预测”、“估计”、“相信”、“打算”、“寻求”、“项目”或“目标”以及这些词的否定形式或其他变体和类似术语来识别。前瞻性陈述可以包括,但不限于,关于(i)管理层对未来运营的计划、目标和目标,包括与Bioflux或公司其他提议的产品或服务的设计、开发和商业化相关的计划、目标或目标,(ii) 收入(包括收入/损失)、每股收益(包括收益/损失)、资本支出、分红、资本结构或其他财务项目的预测,(iii) 公司的未来财务表现,(iv) 公司运营或打算运营的监管制度,和 (v) 以上(i)、(ii)、(iii)或(iv)所述任何陈述的假设。这些前瞻性陈述并不旨在预测或保证实际的结果、表现、事件或情况,可能不会实现,因为它们基于公司的当前预测、计划、目标、信念、期望、估计和假设,并受许多风险和不确定性以及其他影响的制约,其中许多是公司无法控制的。实际结果以及某些事件和情况的时机可能与前瞻性陈述所描述的内容有重大不同,这些差异是由于这些风险和不确定性引起的。可能影响或导致前瞻性陈述不准确,或导致实际结果与预期或希望结果有重大差异的因素可能包括,但不限于,公司无法获得额外融资,与其产品开发相关的显著时间和资源的消耗,以及由此导致的现金流不足和流动性问题,公司的业务扩展能力有限,医疗设备和医疗行业的重大政府管制,缺乏产品多元化,现有或增加的竞争,仲裁和诉讼的结果,股票波动性和流动性问题,以及公司未能实施其商业计划或策略。这些因素和其他因素已在公司向SEC提交的文件中进行了更详细的识别和描述。无法保证公司会在未来变得盈利。公司不承担更新任何前瞻性陈述以反映本发布日期后可能发生的事件或情况的义务。
SOURCE Biotricity
信息来源:Biotricity