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Tonix Pharmaceuticals | 10-Q: Q2 2024 Earnings Report

Tonix Pharmaceuticals | 10-Q: Q2 2024 Earnings Report

Tonix Pharmaceuticals | 10-Q:2024財年二季報
美股SEC公告 ·  2024/08/17 05:23

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Tonix Pharmaceuticals reported Q2 2024 net product revenue of $2.2 million from Zembrace and Tosymra sales, with a net loss of $78.8 million compared to a $28.4 million loss in Q2 2023. The company recorded a $59 million non-cash impairment charge related to property, equipment, goodwill and intangible assets, including $48.8 million for its Advanced Development Center facility.Research and development expenses decreased 56% to $9.7 million from $22.0 million in Q2 2023, driven by reduced clinical trials and pipeline prioritization. General and administrative expenses increased 7% to $7.5 million. The company recognized $3.4 million in cost of sales, including a $1.7 million inventory write-down based on projected sales before expiration dates.As of June 30, 2024, Tonix had cash and cash equivalents of $4.2 million, which management believes will fund operations into Q3 2024. The company faces substantial doubt about its ability to continue as a going concern and may need to delay or scale back operations without additional funding. Tonix plans to submit a New Drug Application for TNX-102 SL for fibromyalgia in H2 2024.
Tonix Pharmaceuticals reported Q2 2024 net product revenue of $2.2 million from Zembrace and Tosymra sales, with a net loss of $78.8 million compared to a $28.4 million loss in Q2 2023. The company recorded a $59 million non-cash impairment charge related to property, equipment, goodwill and intangible assets, including $48.8 million for its Advanced Development Center facility.Research and development expenses decreased 56% to $9.7 million from $22.0 million in Q2 2023, driven by reduced clinical trials and pipeline prioritization. General and administrative expenses increased 7% to $7.5 million. The company recognized $3.4 million in cost of sales, including a $1.7 million inventory write-down based on projected sales before expiration dates.As of June 30, 2024, Tonix had cash and cash equivalents of $4.2 million, which management believes will fund operations into Q3 2024. The company faces substantial doubt about its ability to continue as a going concern and may need to delay or scale back operations without additional funding. Tonix plans to submit a New Drug Application for TNX-102 SL for fibromyalgia in H2 2024.
Tonix Pharmaceuticals報告2024年第二季度來自Zembrace和Tosymra銷售的淨產品營業收入爲220萬美元,淨虧損爲7880萬美元,而2023年第二季度虧損爲2840萬美元。公司確認了一項5900萬美元的非現金資產減值費用,涉及財產、設備、商譽和無形資產,包括4880萬美元用於其愛文思控股開發中心設施。研究和開發費用從2023年第二季度的2200萬美元減少了56%,降至970萬美元,主要由於臨牀試驗減少和管道優先級調整。一般和行政開支增加7%,達750萬美元。公司確認340萬美元的銷售成本,包括170萬美元基於到期日前預測銷售的存貨減值。截至2024年6月30日,Tonix的現金及現金等價物爲420萬美元,管理層相信這將爲第三季度的運營提供資金。公司面臨持續經營能力的重大疑慮,並可能需要在沒有額外資金的情況下推遲或縮減運營。Tonix計劃在2024年下半年提交針對TNX-102 SL用於纖維肌痛症的新藥申請。
Tonix Pharmaceuticals報告2024年第二季度來自Zembrace和Tosymra銷售的淨產品營業收入爲220萬美元,淨虧損爲7880萬美元,而2023年第二季度虧損爲2840萬美元。公司確認了一項5900萬美元的非現金資產減值費用,涉及財產、設備、商譽和無形資產,包括4880萬美元用於其愛文思控股開發中心設施。研究和開發費用從2023年第二季度的2200萬美元減少了56%,降至970萬美元,主要由於臨牀試驗減少和管道優先級調整。一般和行政開支增加7%,達750萬美元。公司確認340萬美元的銷售成本,包括170萬美元基於到期日前預測銷售的存貨減值。截至2024年6月30日,Tonix的現金及現金等價物爲420萬美元,管理層相信這將爲第三季度的運營提供資金。公司面臨持續經營能力的重大疑慮,並可能需要在沒有額外資金的情況下推遲或縮減運營。Tonix計劃在2024年下半年提交針對TNX-102 SL用於纖維肌痛症的新藥申請。

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