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XS Financial Reports Second Quarter 2023 Results

XS Financial Reports Second Quarter 2023 Results

XS 财务报告2023年第二季度业绩
Accesswire ·  2023/08/29 04:00

Company Generates Record Quarterly Revenue of $3.0M, 80% YoY increase from Q2 2022

公司季度收入达到创纪录的300万美元,较2022年第二季度增长80%

LOS ANGELES, CA / ACCESSWIRE / August 28, 2023 / XS Financial Inc. ("XS Financial", "XSF" or the "Company") (CSE:XSF)(OTCQB:XSHLF), a specialty finance company providing CAPEX and equipment financing solutions to cannabis companies in the United States, reports its financial results today for the second quarter ended June 30th, 2023. All amounts are expressed in U.S. dollars unless indicated otherwise.

洛杉矶,CA/ACCESSWIRE/2023年8月28日/XS Financial Inc.(“XS Financial”,“XSF”或“公司”)(CSE:XSF)(OTCQB:XSHLF),一家为美国大麻公司提供资本支出和设备融资解决方案的专业金融公司今天公布了截至6月30日的第二季度财务业绩这是,2023年。除非另有说明,否则所有金额均以美元表示。

Q2/23 Financial Highlights:

23年第2季度财务亮点:

  • 80% YoY increase in Q2 revenue to $3.0 million in Q2/23 from $1.7 million in Q2/22;
  • 56% YoY increase in gross lease receivables to $111.5 million in Q2/23 from $71.6 million in Q2/22;
  • 83% YoY improvement in net distributable earnings to $(203k) in Q2/23 from $(438k) in Q2/22;
  • 21 new lease schedules with Aeriz, Ascend Wellness, Ayr Wellness, Jushi, PharmaCann, and Temescal Wellness, resulting in closed lease transactions totaling approximately $6.0 million.
  • 第二季度收入同比增长80%从22年第2季度的170万美元增加到23年第2季度的300万美元;
  • 应收租赁应收账款总额同比增长56%从22年第2季度的7160万美元增加到23年第2季度的1.115亿美元;
  • 可分配净收益同比增长83%从22年第2季度的$(438K)降至23年第2季度的$(203K);
  • 21个新的租约附表与Aeriz、Ascend Wellness、Ayr Wellness、Jushi、PharmaCann和Temescal Wellness达成的已完成租赁交易总额约为600万美元。

Post-Quarter-End Portfolio and Corporate Highlights:

季度末后投资组合和公司亮点:

Q3/22

Q4/22

Q1/23

Q2/23

As of 08/21/2023

# of Customers

14

15

16

16

16

# of Active Leases

139

174

189

209

223

Active Leases Since Inception

$92.9 million

$108.7 million

$113.9 million

$118.9 million

$128.3 million

Average Lease Size by Customer

$6.6 million

$7.2 million

$7.2 million

$7.4 million

$8.0 million

Monthly Recurring Payments

$2.3 million

$2.7 million

$2.7 million

$3.0 million

$3.2 million

Gross Lease Receivables

$99.1 million

$112.2 million

$111.7 million

$111.5 million

$117.0 million

Q3/22

Q4/22

23年第1季度

23年第2季度

截至2023年8月21日

客户数量

14.

15个

16年

16年

16年

有效租约数量

一百三十九

一百七十四

189

209

223

自初始状态以来的活动租赁

9,290万美元

1.087亿美元

1.139亿美元

1.189亿美元

1.283亿美元

按客户划分的平均租赁规模

660万美元

720万美元

720万美元

740万美元

800万美元

每月定期付款

230万美元

270万美元

270万美元

300万美元

320万美元

应收毛租款项

9910万美元

1.122亿美元

1.117亿美元

1.115亿美元

1.17亿美元

David Kivitz, CEO of XS Financial commented: "During the second quarter, we generated record revenue and after quarter end, also generated record gross lease receivables. Looking ahead to 2H/2023, we are focused on expanding our customer base, increasing efficiencies in operations, optimizing our balance sheet, and expanding our relationships with our customers who have capex planned in attractive markets. Our customers and new prospects remain reliant on our leasing solutions, including our ability to fund at scale, which we expect will continue well beyond 2023."

XS金融首席执行官David·基维茨评论道:在第二季度,我们创造了创纪录的收入,在季度结束后,我们也产生了创纪录的应收租赁总额。展望2023年下半年,我们专注于扩大我们的客户基础,提高运营效率,优化我们的资产负债表,并扩大我们与计划在有吸引力的市场进行资本支出的客户的关系。我们的客户和新的潜在客户仍然依赖我们的租赁解决方案,包括我们大规模融资的能力,我们预计这种能力将持续到2023年以后。

Summary Financial Results - Three Months Ending June 30th, 2023.

财务业绩摘要-截至6月30日的三个月这是,2023年。

The following table sets forth selected financial information for the periods indicated that was derived from our audited financial statements.

下表列出了从我们经审计的财务报表中得出的选定期间的财务信息。

For the three months ended
June 30
2023 2022
Financing income and operating lease revenue
$ 2,990,414 $ 1,657,771
Operating expenses
$ 1,494,578 $ 891,828
Other expenses (income)
$ 3,173,081 $ 4,335,529
Net (loss) income
$ (1,677,245) $ (3,569,586)
Income (loss) per share - basic
$ (0.02) $ (0.03)
Weighted average shares outstanding - basic
103,885,041 103,885,041
截至以下三个月
6月30日
2023年 2022
融资收入和经营租赁收入
$ 2990,414 $ 1657,771
运营费用
$ 1494,578 $ 891,828
其他费用(收入)
$ 3,173,081 $ 4335,529
净(亏损)收益
$ (1,677,245) $ (3,569,586)
每股收益(亏损)-基本
$ (0.02) $ (0.03)
加权平均流通股-基本
103,885,041 103,885,041

Revenues for the quarter increased 80% to $2,990,414 from $1,657,771 for the same period the prior year. The increase of $1,332,643 was attributable to revenue recognized from financing income associated with 116 new financing leases.

该季度的收入增长了80%,从去年同期的1,657,771美元增至2,990,414美元。增加1,332,643美元是由于116个新融资租赁的融资收入确认的收入。

Operating expenses for the quarter increased 68% to $1,494,578 from $891,828 for the same period the prior year. The increase was primarily the result of increases in personnel and contractor cost.

该季度的营业费用从去年同期的891,828美元增加到1,494,578美元,增幅为68%。增加的主要原因是人员和承包人费用增加。

Other expenses for the quarter increased to $3,173,081 from $4,335,529 for the same period the prior year. The decrease in other expense of $1,162,448 was primarily attributable to the decrease of approximately $1,619,000 in non-cash losses related to the change in fair value of derivative liabilities and non-cash foreign currency translation losses that decreased approximately $935,000 from 2022 to 2023. The above decreases are partially offset by increases of $833,000 and $593,000 in financing expenses and non-cash accretion expenses.

该季度的其他支出从上年同期的433529美元增加到3173 081美元。其他开支减少1,162,448美元,主要原因是衍生工具负债的公允价值变动导致非现金亏损减少约1,619,000美元,以及非现金外币换算亏损从2022至2023年度减少约935,000美元。融资费用和非现金增值费用分别增加833,000美元和593,000美元,部分抵消了上述减少额。

Net Loss for the quarter was $1,677,245 compared to a net loss of $3,569,586 for the second quarter of 2022.

该季度净亏损为1,677,245美元,而2022年第二季度净亏损为3,569,586美元。

Net Distributable Earnings

可分配净收益

After adjusting for non-cash items, including unrealized loss in fair value change of investments, accretion expense, and stock-based compensation, including gain (loss) from lease terminations, the Company reported net distributable earnings of $(203,403) in Q2 2023 compared to $(1,173,302) in Q2 2022, a 83% improvement year over year.

经非现金项目调整后,包括投资公允价值变动中的未实现亏损、增值费用和基于股票的补偿(包括租赁终止的收益(亏损)),公司报告2023年第二季度的可分配净收益为(203,403美元),而2022年第二季度的可分配净收益为(1,173,302美元),同比增长83%。

Summary of Net Distributable Earnings - Second Quarter 2023 compared to Second Quarter 2022

2023年第二季度与2022年第二季度可分配净收益摘要

Q2 2023 Q2 2022
Operating Income
$ 1,495,836 $ 988,616
Add: Noncash Equity Compensation
$ 208,880 $ 47,085
Add: Depreciation Expense
$ 4,520 $ 4,107
Add: Gain on Lease Termination
$ 3,709 $ 0
Less: Interest Expense
$ 1,916,348 $ 2,213,110
Net Distributable Earnings
$ (203,403) $ (1,173,302)
2023年第二季度 2022年第二季度
营业收入
$ 1495,836 $ 988,616
新增:非现金股权薪酬
$ 208,880 $ 47,085
添加:折旧费用
$ 4520 $ 4107
添加:租赁终止收益
$ 3709 $ 0
减去:利息支出
$ 1916,348 $ 2,213,110
可分配净收益
$ (203,403) $ (1,173,302)

XS Financials' complete annual financial statements and management's discussion and analysis for the second quarter ended June 30th, 2023, will be filed under the Company's profile on , and will also be available on XS Financial's corporate website at

XS Financials截至6月30日的完整年度财务报表和管理层对第二季度的讨论和分析这是,2023年,将在公司简介下提交,也将在XS Financial的公司网站上获得

Recent Developments

最新发展动态

The Company previously announced on June 12, 2023 that it was amending its unsecured convertible notes ("Notes") in the aggregate principal amount of US$43.5 million, which were originally issued on October 28, 2021 and October 10, 2022, to extend the maturity date of the Notes and provide for certain other amendments as described therein. These amendments to the Notes have since been voided and the Company remains in discussions with the holders of the Notes with regard to a proposed restructuring. The Company will provide further updates in due course.

本公司先前于二零二三年六月十二日宣布,将修订其本金总额为4,350万美元的无抵押可转换票据(“票据”),以延长票据的到期日,并就其中所述的若干其他修订作出规定。这些对票据的修订已作废,本公司仍在与票据持有人就建议的重组进行磋商。公司将在适当的时候提供进一步的更新。

About XS Financial

关于XS Financial

Founded in 2017, XS Financial specializes in providing CAPEX financing solutions to cannabis companies in the United States, including cultivators, processors, manufacturers, and testing laboratories. In addition, XSF has partnered with over 250 original equipment manufacturers (OEM) through its network of Preferred Vendor partnerships. This powerful dynamic provides an end-to-end solution for customers which results in recurring revenues, strong profit margins, and a proven business model for XSF stakeholders. The Company's subordinate voting shares are traded on the Canadian Securities Exchange under the symbol "XSF". For more information, visit: .

XS Financial成立于2017年,专门为美国的大麻公司提供CAPEX融资解决方案,包括种植者、加工商、制造商和测试实验室。此外,XSF还通过其首选供应商合作伙伴网络与250多家原始设备制造商(OEM)建立了合作伙伴关系。这一强大的动态为客户提供了端到端解决方案,从而为XSF利益相关者带来了经常性收入、强劲的利润率和经过验证的商业模式。该公司的附属有表决权股票在加拿大证券交易所交易,代码为“XSF”。有关更多信息,请访问:。

For inquiries please contact:

如有疑问,请联系:

David Kivitz Antony Radbod
Chief Executive Officer Chief Operating Officer
Tel: 1-310-683-2336
Email: ir@xsfinancial.com
David·基维茨 安东尼·拉德博德
首席执行官 首席运营官
电话:1-310-683-2336
电子邮件:ir@xsfinial.com

Non-IFRS Financial Measures

非国际财务报告准则财务衡量标准

This press release includes references to certain non-IFRS financial measures. These non-IFRS measures do not have any standardized meanings prescribed by International Financial Reporting Standards (IFRS) as issued by the International Accounting Standards Board (IASB) and are therefore unlikely to be comparable to similar measures presented by other companies. Accordingly, they should not be considered in isolation, in addition to, not as a substitute for or superior to, measures of financial performance prepared in accordance with IFRS.

本新闻稿包括对某些非国际财务报告准则财务措施的引用。这些非国际财务报告准则计量没有国际会计准则理事会(IASB)发布的国际财务报告准则(IFRS)所规定的任何标准化含义,因此不太可能与其他公司提出的类似计量进行比较。因此,不应将其作为根据《国际财务报告准则》编制的财务执行情况衡量标准的补充,而不是替代或优于这些衡量标准单独加以考虑。

Forward-Looking Information

前瞻性信息

This press release contains "forward-looking information" and may also contain statements that may constitute "forward-looking statements", collectively "forward-looking information", within the meaning of applicable Canadian securities legislation. Such forward-looking information is not representative of historical facts or information or current condition, but instead represent the beliefs and expectations regarding future events about the business and the industry and markets in which XS Financial operates, as well as plans or objectives of management, many of which, by their nature, are inherently uncertain. Generally, such forward-looking information can be identified by the use of terminology such as "plans", "expects" or "does not expect", "is expected", "budget", "scheduled", "estimates", "forecasts", "intends", "anticipates" or "does not anticipate", or "believes", or variations of such words and phrases or may contain statements that certain actions, events or results "may", "could", "would", "might" or "will be taken", "will continue", "will occur" or "will be achieved". Forward-looking information contained herein may include but is not limited to, any additional leasing opportunities and the ability to capitalize on such and the timing thereof. Forward-looking information is not a guarantee of future performance and involve risks, uncertainties and assumptions which are difficult to predict. Accordingly, readers should not place undue reliance on forward-looking information, which are qualified in their entirety by this cautionary statement. XS Financial Inc., does not undertake any obligation to release publicly any revisions for updating any voluntary forward-looking information, except as required by applicable securities law.

本新闻稿包含“前瞻性信息”,也可能包含可能构成“前瞻性陈述”的陈述,统称为“前瞻性信息”,符合适用的加拿大证券法的含义。这些前瞻性信息并不代表历史事实或信息或当前状况,而是代表了对XS Financial经营的业务、行业和市场的未来事件的信念和预期,以及管理计划或目标,其中许多从本质上讲是不确定的。一般而言,此类前瞻性信息可通过使用诸如“计划”、“预期”或“不预期”、“预期”、“预算”、“预定”、“估计”、“预测”、“打算”、“预期”或“不预期”或“相信”等术语或此类词语和短语的变体来识别,或可能包含某些行动、事件或结果“可能”、“可能”、“将”、“可能”或“将会采取”、“将继续”的陈述,“将会发生”或“将会实现”。本文包含的前瞻性信息可能包括但不限于任何额外的租赁机会以及利用这些机会和时机的能力。前瞻性信息不是未来业绩的保证,涉及难以预测的风险、不确定性和假设。因此,读者不应过度依赖前瞻性信息,这些信息完全受本警示声明的限制。XS Financial Inc.不承担公开发布更新任何自愿前瞻性信息的任何修订的义务,除非适用的证券法要求。

Neither the Canadian Securities Exchange nor its Regulation Services Provider accepts responsibility for the adequacy or accuracy of this release.

加拿大证券交易所及其监管服务提供商均不对本新闻稿的充分性或准确性承担责任。

SOURCE: XS Financial

资料来源:XS金融


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