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ISpecimen Reports Full Year 2023 Results

ISpecimen Reports Full Year 2023 Results

iSpecimen 公佈 2023 年全年業績
iSpecimen ·  03/14 12:00

LEXINGTON, Mass., March 14, 2024 — iSpecimen Inc. (Nasdaq: ISPC) ("iSpecimen" or the "Company"), an online global marketplace that connects scientists requiring biospecimens for medical research with a network of healthcare specimen providers, today reported its financial and operating results for the twelve-month period ended December 31, 2023.

馬薩諸塞州列剋星敦,2024 年 3 月 14 日 — iParmle Inc. 納斯達克股票代碼:ISPC)(“iSpecimen” 或 “公司”)是一個將需要生物樣本進行醫學研究的科學家與醫療標本提供者網絡聯繫起來的全球在線市場,今天公佈了截至2023年12月31日的十二個月期間的財務和經營業績。

"Throughout 2023, we advanced our objective to reach profitability, focusing on right-sizing our business and implementing new operational efficiencies," said Tracy Curley, CEO of iSpecimen. "As we strive to become cash flow positive, we are focusing our efforts on growing topline revenues through our core business segments by capitalizing on our Next Day Quotes program, where we continue to see increased traction. We have also invested in new marketing initiatives and implemented a new sales structure to help drive sales. By focusing on our core operations, iSpecimen is strongly positioned to scale our business in 2024 and beyond."

iSpecimen首席執行官特雷西·柯利表示:“在整個2023年,我們推進了實現盈利的目標,重點是調整業務規模和提高運營效率。”“在我們努力實現正現金流的同時,我們將精力集中在通過利用次日報價計劃增加核心業務領域的收入上,我們繼續看到該計劃的吸引力不斷增強。我們還投資了新的營銷計劃,並實施了新的銷售結構以幫助推動銷售。通過專注於我們的核心業務,iSpecimen有能力在2024年及以後擴大我們的業務。”

"At the end of the third quarter of 2023, we introduced one of our most impactful initiatives to expedite the biospecimen transaction process with a program we call Next Day Quotes, which significantly reduces the amount of time from opportunity to quote and improved our quote to purchase order conversion ratio during the fourth quarter, achieving a 39% increase in quotes converting to purchase orders compared to the average from all prior quarters in 2023."

“在2023年第三季度末,我們推出了最具影響力的舉措之一,通過一項名爲次日報價的計劃來加快生物標本交易流程,該計劃顯著縮短了從機會到報價的時間,並提高了第四季度報價到採購訂單的轉換率,與2023年前所有季度的平均水平相比,轉化爲採購訂單的報價增長了39%。”

"In addition, to maintain our leadership position and to support the evolving needs of our research customers, we are focusing on the quality of our supplier network, even as it means ending certain supplier relationships. In doing so, we believe we can effectively and efficiently provide researchers access to today's most highly sought after biospecimens in the areas of oncology and neurology, among others."

“此外,爲了保持我們的領導地位並支持研究客戶不斷變化的需求,我們將重點放在供應商網絡的質量上,即使這意味着終止某些供應商關係。我們相信,通過這樣做,我們可以有效和高效地爲研究人員提供獲得當今腫瘤學和神經病學等領域最受歡迎的生物標本的機會。”

"Our team has worked diligently and tirelessly over the past year to lay a solid foundation for our Company. We've entered 2024 in a much stronger operational position, and I am confident we can build upon the momentum we have created, further positioning the Company for improved financial results in 2024," concluded Ms. Curley.

“在過去的一年中,我們的團隊孜孜不倦地工作,爲我們的公司奠定了堅實的基礎。我們進入2024年的運營狀況要好得多,我相信我們可以在已經創造的勢頭基礎上再接再厲,進一步爲公司在2024年改善財務業績做好準備,” 柯利女士總結道。

Financial & Operational Highlights

財務和運營亮點

  • Generated revenue of approximately $1.7 million in December 2023, marking the Company's strongest sales month to date;
  • For the fourth quarter of 2023, iSpecimen experienced an approximately 39% increase in the conversion of quotes to purchase orders, compared to the average from all prior quarters in 2023;
  • As of December 31, 2023, we had over 230 unique supplier organizations under contract, as we focused on building the quality of our supplier network over the quantity;
  • As of December 31, 2023, we had over 600 unique customer organizations who have purchased from iSpecimen, an increase of over 87 from 513 at the end of 2022; and
  • iSpecimen Marketplace had nearly 7,428 registered research and supplier users as of December 31, 2023, up approximately 11% from 6,703 as of December 31, 2022.
  • 2023 年 12 月的收入約爲 170 萬美元,這是公司迄今爲止銷售額最強勁的一個月;
  • 2023年第四季度,與2023年前所有季度的平均水平相比,iSpecimen的報價向採購訂單的轉化率增長了約39%;
  • 截至2023年12月31日,我們與230多個獨特的供應商組織簽訂了合同,因爲我們專注於在數量之上建立供應商網絡的質量;
  • 截至2023年12月31日,我們有600多個獨立客戶組織從iSpecimen購買了商品,較2022年底的513家增加了87家以上;以及
  • 截至2023年12月31日,iSpecimen Marketplace擁有近7,428名註冊研究和供應商用戶,較截至2022年12月31日的6,703名增長了約11%。

Recent Corporate Updates

最近的公司動態

Financial Results for Fiscal Year 2023
For the year ended December 31, 2023, revenue was approximately $9.93 million, compared to approximately $10.40 million for the year ended December 31, 2022. The reduction was primarily due to a decrease of 2,938 specimens, or approximately 11%, in specimen count, from 27,503 specimens during the year ended December 31, 2022 to 24,565 specimens during the year ended December 31, 2023. The effect of the decrease in specimen count was partially offset by a change in specimen mix which caused the average selling price per specimen to increase by approximately $26, or approximately 7%, to approximately $404 per specimen for 2023, compared to approximately $378 per specimen for 2022.

2023 財年的財務業績
截至2023年12月31日的財年,收入約爲993萬美元,而截至2022年12月31日的年度收入約爲1,040萬美元。減少的主要原因是標本數量減少了2938個標本,約佔11%,從截至2022年12月31日止年度的27,503份樣本減少到截至2023年12月31日的年度的24,565份。標本組合的變化部分抵消了標本數量減少的影響,這導致每個樣本的平均銷售價格上漲了約26美元,漲幅約7%,至2023年每個樣本約404美元,而2022年每個樣本的平均銷售價格約爲378美元。

For the year ended December 31, 2023, cost of revenue increased by approximately $63,000, or approximately 1%, to approximately $4.82 million, compared to approximately $4.76 million for the year ended December 31, 2022. Although there was an approximately 11% decrease in the number of specimens accessioned during the year ended December 31, 2023, compared to the same prior year period, the average cost per specimen increased approximately 13% to approximately $196 per specimen for the year ended December 31, 2023, compared to approximately $173 per specimen for the year ended December 31, 2022.

截至2023年12月31日的財年,收入成本增加了約63,000美元,增幅約1%,達到約482萬美元,而截至2022年12月31日止年度的收入成本約爲476萬美元。儘管截至2023年12月31日的年度中採集的標本數量與去年同期相比下降了約11%,但截至2023年12月31日的年度中,每個樣本的平均成本增加了約13%,至每個標本約196美元,而截至2022年12月31日止年度的每個樣本的平均成本約爲173美元。

For the year ended December 31, 2023, general and administrative expenses decreased approximately $998,000 or approximately 14%, to approximately $5.94 million, compared to approximately $6.93 million for the year ended December 31, 2022. The decrease was attributable to decreases in severance costs of former executives of approximately $782,000 and compensation costs of approximately $248,000, among other reductions, which were partially offset by increases in bad debt expense of approximately $198,000, depreciation and amortization of approximately $95,000, and taxes and insurance of approximately $11,000.

截至2023年12月31日的財年,一般和管理費用下降了約99.8萬美元,降幅約14%,至約594萬美元,而截至2022年12月31日的年度約爲693萬美元。減少的原因是前高管的遣散費減少了約78.2萬美元,薪酬成本減少了約24.8萬美元,以及其他減少額,但被壞賬支出增加約198,000美元、折舊和攤銷約9.5萬美元以及稅收和保險約11,000美元部分抵消。

For the year ended December 31, 2023, the net loss was approximately $11.10 million, or (1.23) per share, compared to a net loss of approximately $10.2 million, or $(1.16) per share, for the same period the prior year.

截至2023年12月31日的財年,淨虧損約爲1,110萬美元,合每股虧損1.23美元,而去年同期的淨虧損約爲1,020萬美元,合每股虧損1.16美元。

As of December 31, 2023, cash and cash equivalents were approximately $5.01 million, compared to approximately $15.31 million as of December 31, 2022. For Q1, Q2, Q3 and Q4 the quarterly cash burn was approximately $4.29 million, $2.81 million, $2.55 million and $657,000, respectively, demonstrating the success of implementing new operational efficiencies and cost-cutting initiatives.

截至2023年12月31日,現金及現金等價物約爲501萬美元,而截至2022年12月31日約爲1,531萬美元。第一季度、第二季度、第三季度和第四季度的季度現金消耗分別約爲429萬美元、281萬美元、255萬美元和65.7萬美元,這表明在實施新的運營效率和削減成本的舉措方面取得了成功。

On March 5, 2024 we entered into an At the Market Offering Agreement whereby we may issue and sell shares of our common stock from time to time with an aggregate offering price of up to $1.5 million through our shelf registration statement. We may seek additional funding through public equity or other sources to fund further capital investments or for general corporate purposes.

2024年3月5日,我們簽訂了市場發行協議,根據該協議,我們可以通過上架註冊聲明不時發行和出售總髮行價格不超過150萬美元的普通股。我們可能會通過公開股權或其他來源尋求額外資金,爲進一步的資本投資提供資金或用於一般公司用途。

Conference Call and Webcast Information

電話會議和網絡直播信息

The Company will host a conference call and audio webcast on Thursday, March 14, 2024 at 8:30 a.m. Eastern Time featuring remarks by Tracy Curley, CEO.

該公司將於美國東部時間2024年3月14日星期四上午8點30分舉辦電話會議和網絡音頻直播,屆時首席執行官特雷西·柯利將發表講話。

Event: iSpecimen Year End 2023 Results Conference Call
Date: Thursday, March 14, 2024
Time: 8:30 a.m. Eastern Time
Dial in: 1-888-886-7786 (U.S. Toll Free) or 1-416-764-8658 (International)
Webcast: https://viavid.webcasts.com/starthere.jsp?ei=1655659&tp_key=8493197d5b
活動: iSpecimen 2023 年年終業績電話會議
日期: 2024 年 3 月 14 日,星期四
時間: 美國東部時間上午 8:30
撥入: 1-888-886-7786(美國免費電話)或 1-416-764-8658(國際)
網絡直播: https://viavid.webcasts.com/starthere.jsp?ei=1655659&tp_key=8493197d5b

For interested individuals unable to join the conference call, a replay will be available through March 28, 2024, at +1-844-512-2921 (U.S. Toll Free) or +1-412-317-6671 (International). Participants must use the following code to access the replay of the call: 37478374. An archived version of the webcast will also be available on iSpecimen's Investor Relations site: https://investors.ispecimen.com/presentations/.

對於無法參加電話會議的感興趣的個人,將在2024年3月28日之前重播,電話爲+1-844-512-2921(美國免費電話)或+1-412-317-6671(國際)。參與者必須使用以下代碼來訪問電話重播:37478374。網絡直播的存檔版本也將在iSpecimen的投資者關係網站上公佈: https://investors.ispecimen.com/presentations/

About iSpecimen
iSpecimen (Nasdaq: ISPC) offers an online marketplace for human biospecimens, connecting scientists in commercial and non-profit organizations with healthcare providers that have access to patients and specimens needed for medical discovery. Proprietary, cloud-based technology enables scientists to intuitively search for specimens and patients across a federated partner network of hospitals, labs, biobanks, blood centers and other healthcare organizations. For more information, please visit www.ispecimen.com.

關於 iPamble
iTarplet(納斯達克股票代碼:ISPC)爲人類生物標本提供了一個在線市場,將商業和非營利組織的科學家與能夠獲得醫學發現所需的患者和樣本的醫療保健提供者聯繫起來。基於雲的專有技術使科學家能夠通過由醫院、實驗室、生物庫、血液中心和其他醫療保健組織組成的聯邦合作伙伴網絡直觀地搜索樣本和患者。欲了解更多信息,請訪問 www.ispecimen.com

Forward Looking Statements

前瞻性陳述

This press release may contain forward-looking statements within the meaning of Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Exchange Act of 1934, as amended. Such forward-looking statements are characterized by future or conditional verbs such as "may," "will," "expect," "intend," "anticipate," "believe," "estimate" and "continue" or similar words. You should read statements that contain these words carefully because they discuss future expectations and plans, which contain projections of future results of operations or financial condition or state other forward-looking information.

本新聞稿可能包含經修訂的1933年《證券法》第27A條和經修訂的1934年《證券交易法》第21E條所指的前瞻性陳述。此類前瞻性陳述以未來或條件動詞爲特徵,例如 “可能”、“將”、“期望”、“打算”、“預期”、“相信”、“估計” 和 “繼續” 或類似詞。你應該仔細閱讀包含這些詞語的陳述,因爲它們討論的是未來的預期和計劃,其中包含對未來經營業績或財務狀況的預測,或者陳述其他前瞻性信息。

Forward-looking statements are predictions, projections and other statements about future events that are based on current expectations and assumptions and, as a result, are subject to risks and uncertainties. Many factors could cause actual future events to differ materially from the forward-looking statements in this press release, including but not limited to the risk factors contained in the Company's filings with the U.S. Securities and Exchange Commission, which are available for review at www.sec.gov. Forward-looking statements speak only as of the date they are made. New risks and uncertainties arise over time, and it is not possible for the Company to predict those events or how they may affect the Company. If a change to the events and circumstances reflected in the Company's forward-looking statements occurs, the Company's business, financial condition and operating results may vary materially from those expressed in the Company's forward-looking statements.

前瞻性陳述是基於當前預期和假設的關於未來事件的預測、預測和其他陳述,因此受風險和不確定性的影響。許多因素可能導致未來的實際事件與本新聞稿中的前瞻性陳述存在重大差異,包括但不限於公司向美國證券交易委員會提交的文件中包含的風險因素,這些文件可在www.sec.gov上進行審查。前瞻性陳述僅代表其發表之日。隨着時間的推移,新的風險和不確定性出現,公司無法預測這些事件或它們可能如何影響公司。如果公司前瞻性陳述中反映的事件和情況發生變化,則公司的業務、財務狀況和經營業績可能與公司前瞻性陳述中表達的事件和情況存在重大差異。

Readers are cautioned not to put undue reliance on forward-looking statements, and the Company assumes no obligation and does not intend to update or revise these forward-looking statements, whether as a result of new information, future events or otherwise.

提醒讀者不要過分依賴前瞻性陳述,公司不承擔任何義務,也不打算更新或修改這些前瞻性陳述,無論是由於新信息、未來事件還是其他原因。

For further information, please contact:

欲了解更多信息,請聯繫:

Investor Contact
KCSA Strategic Communications
Phil Carlson / Erika Kay
iSpecimen@kcsa.com

投資者聯繫人
KCSA 戰略傳播
Phil Carlson /Erika Kay
iSpecimen@kcsa.com

iSpecimen Inc.
Balance Sheets
December 31, December 31,
2023 2022
ASSETS
Current assets:
Cash and cash equivalents $ 2,343,666 $ 15,308,710
Available-for-sale securities 2,661,932
Accounts receivable – unbilled 2,212,538 2,327,789
Accounts receivable, net of allowance for doubtful accounts of
$520,897 and $230,999 at December 31, 2023 and 2022, respectively
728,388 1,597,915
Prepaid expenses and other current assets 292,079 300,434
Tax credit receivable 140,873
Total current assets 8,238,603 19,675,721
Property and equipment, net 127,787 225,852
Internally developed software, net 6,323,034 4,503,787
Other intangible assets, net 908,255
Operating lease right-of-use asset 193,857 184,692
Security deposits 27,601 27,601
Total assets $ 15,819,137 $ 24,617,653
LIABILITIES AND STOCKHOLDERS' EQUITY
Current liabilities:
Accounts payable $ 3,925,438 $ 2,459,063
Accrued expenses 1,540,607 1,531,238
Operating lease current obligation 167,114 158,451
Deferred revenue 415,771 132,335
Total current liabilities 6,048,930 4,281,087
Operating lease long-term obligation 29,130 27,396
Total liabilities 6,078,060 4,308,483
Commitments and contingencies (See Note 9)
Stockholders' equity
Common stock, $0.0001 par value, 200,000,000 shares authorized,
9,114,371 issued, and 9,083,371 outstanding at December 31, 2023 and
8,956,808 issued and 8,925,808 outstanding at December 31, 2022
908 892
Additional paid-in capital 69,104,313 68,573,774
Treasury stock, 31,000 shares at December 31, 2023 and 2022, at cost (172) (172)
Accumulated other comprehensive income 840
Accumulated deficit (59,364,812) (48,265,324)
Total stockholders' equity 9,741,077 20,309,170
Total liabilities and stockholders' equity $ 15,819,137 $ 24,617,653
iParmle Inc.
資產負債表
十二月三十一日 十二月三十一日
2023 2022
資產
流動資產:
現金和現金等價物 $ 2,343,666 $ 15,308,710
可供出售證券 2,661,932
應收賬款——未開票 2,212,538 2,327,789
應收賬款,扣除以下可疑賬款備抵額
截至2023年12月31日和2022年12月31日,分別爲520,897美元和230,999美元
728,388 1,597,915
預付費用和其他流動資產 292,079 300,434
應收稅收抵免 140,873
流動資產總額 8,238,603 19,675,721
財產和設備,淨額 127,787 225,852
內部開發的軟件,net 6,323,034 4,503,787
其他無形資產,淨額 908,255
經營租賃使用權資產 193,857 184,692
按金 27,601 27,601
總資產 $ 15,819,137 $ 24,617,653
負債和股東權益
流動負債:
應付賬款 $ 3,925,438 $ 2,459,063
應計費用 1,540,607 1,531,238
經營租賃當期債務 167,114 158,451
遞延收入 415,771 132,335
流動負債總額 6,048,930 4,281,087
經營租賃長期債務 29,130 27,396
負債總額 6,078,060 4,308,483
承付款和意外開支(見附註9)
股東權益
普通股,面值0.0001美元,授權2億股,
截至2023年12月31日,已發行9,114,371份,未發行9,083,371份,以及
截至2022年12月31日,已發行8,956,808份,未償還8,925,808份
908 892
額外的實收資本 69,104,313 68,573,774
美國庫存,截至2023年12月31日和2022年12月31日的31,000股,按成本計算 (172) (172)
累計其他綜合收益 840
累計赤字 (59,364,812) (48,265,324)
股東權益總額 9,741,077 20,309,170
負債和股東權益總額 $ 15,819,137 $ 24,617,653
iSpecimen Inc.
Statements of Operations and Comprehensive Loss
Years Ended December 31,
2023 2022
Revenue $ 9,928,184 $ 10,402,303
Operating expenses:
Cost of revenue 4,820,268 4,756,965
Technology 3,566,917 2,656,287
Sales and marketing 3,955,974 3,445,344
Supply development 1,030,403 801,125
Fulfillment 1,788,879 1,995,937
General and administrative 5,935,092 6,932,727
Total operating expenses 21,097,533 20,588,385
Loss from operations (11,169,349) (10,186,082)
Other income (expense), net
Interest expense (16,001) (238,963)
Interest income 339,750 169,345
Interest and penalties on sales tax liability (214,784)
Other income (expense), net (39,104) 9,778
Total other income (expense), net 69,861 (59,840)
Net loss $ (11,099,488) $ (10,245,922)
Other comprehensive income:
Net loss $ (11,099,488) $ (10,245,922)
Unrealized gain on available-for-sale securities 840
Total other comprehensive income 840
Comprehensive loss $ (11,098,648) $ (10,245,922)
Net loss per share – basic and diluted $ (1.23) $ (1.16)
Weighted average shares of common stock outstanding – basic and
diluted
9,041,341 8,844,307
iParmle Inc.
運營報表和綜合損失報表
截至12月31日的年份
2023 2022
收入 $ 9,928,184 $ 10,402,303
運營費用:
收入成本 4,820,268 4,756,965
科技 3,566,917 2,656,287
銷售和營銷 3,955,974 3,445,344
供應發展 1,030,403 801,125
配送 1,788,879 1,995,937
一般和行政 5,935,092 6,932,727
運營費用總額 21,097,533 20,588,385
運營損失 (11,169,349) (10,186,082)
其他收入(支出),淨額
利息支出 (16,001) (238,963)
利息收入 339,750 169,345
應繳銷售稅的利息和罰款 (214,784)
其他收入(支出),淨額 (39,104) 9,778
其他收入(支出)總額,淨額 69,861 (59,840)
淨虧損 $ (11,099,488) $ (10,245,922)
其他綜合收入:
淨虧損 $ (11,099,488) $ (10,245,922)
可供出售證券的未實現收益 840
其他綜合收入總額 840
綜合損失 $ (11,098,648) $ (10,245,922)
每股淨虧損——基本虧損和攤薄後 $ (1.23) $ (1.16)
已發行普通股的加權平均股數——基本和
稀釋
9,041,341 8,844,307

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