CDTi Advanced Materials, Inc. Reports Year-end 2023 Financial Results
CDTi Advanced Materials, Inc. Reports Year-end 2023 Financial Results
OXNARD, CA / ACCESSWIRE / April 29, 2024 / CDTi Advanced Materials, Inc. (OTC PINK:CDTI) ("CDTi" or the "Company"), a leader in advanced catalyst technology, reported its financial results for the year ended December 31, 2023
加利福尼亞州奧克斯納德/ACCESSWIRE/2024年4月29日/先進催化劑技術的領導者CDTi Advanced Materials, Inc.(場外交易代碼:CDTI)(“CDTi” 或 “公司”)公佈了截至2023年12月31日的年度財務業績
Matthew Beale, the Company's CEO, stated, "Our focus on solutions for the clean energy transition yielded important returns for CDTi in 2023. We further strengthened our collaborations with key industry players at the forefront of this transition and established CDTi as a leading provider of catalyst and coating technology for the nascent carbon capture, methane abatement and hydrogen production markets. We also expanded our fuel borne catalyst (FBC) offering to include solutions for global fuel additives companies as demand grows for catalyzed products delivering demonstrable fuel efficiency benefits. Although FBC revenue was lower than the prior year, we believe this reflects short-term volatility with a new product line and continue to be excited by its long-term growth prospects.
該公司首席執行官馬修·比爾表示:“我們對清潔能源轉型解決方案的關注爲CDTi在2023年帶來了可觀的回報。我們進一步加強了與處於轉型前沿的主要行業參與者的合作,並將CDTi確立爲新興的碳捕集、甲烷減排和氫氣生產市場的催化劑和塗層技術的領先供應商。隨着對具有明顯燃油效率優勢的催化劑產品的需求增長,我們還擴大了我們的燃料催化劑 (FBC) 產品範圍,將面向全球燃料添加劑公司的解決方案包括在內。儘管聯邦銀行的收入低於上年,但我們認爲這反映了新產品線的短期波動,並繼續對其長期增長前景感到興奮。
"Public and private investment in technologies supporting the clean energy transition is expected to accelerate further in 2024 and beyond. We are ideally positioned having successfully leveraged our expertise in automotive catalysts to create robust and cost-effective solutions for emerging growth markets in carbon dioxide removal (CDR) and methane abatement. These new markets, together with our expanded FBC product offering, are the fastest growing segments of our business that we believe will have an increasingly positive impact on our revenue going forward," concluded Beale.
“預計在2024年及以後,對支持清潔能源轉型的技術的公共和私人投資將進一步加速。我們成功地利用我們在汽車催化劑方面的專業知識爲二氧化碳去除(CDR)和甲烷減排領域的新興增長市場創造了強大且具有成本效益的解決方案,因此處於理想的位置。這些新市場,加上我們擴大的 FBC 產品供應,是我們業務中增長最快的細分市場,我們認爲這將對我們未來的收入產生越來越積極的影響,” Beale 總結道。
Operating Highlights
運營亮點
- Signed Procurement Agreement with a global energy organization to provide catalyst engineering and coating services for clean energy initiatives;
- Completed initial engineering order of components for a large-scale CDR unit for a global energy company;
- Initiated development work with a leading substrate manufacturer to create catalyst products to address growing global demand for direct air capture (DAC) systems;
- Developed and began supplying proprietary white label FBC product to global fuel additives company; and
- Expanded activity in the methane abatement market including supply of prototype catalysts to a major oil and gas customer and completion of a feasibility study for MAMII (Methane Abatement in Maritime Initiative) targeting methane oxidation catalysts for the marine market.
- 與一家全球能源組織簽署了採購協議,爲清潔能源計劃提供催化劑工程和塗層服務;
- 爲一家全球能源公司完成了大型CDR單元的初始工程訂單;
- 與一家領先的襯底製造商啓動了開發工作,開發催化劑產品,以滿足全球對直接空氣捕集(DAC)系統不斷增長的需求;
- 開發並開始向全球燃料添加劑公司提供專有的白標FBC產品;以及
- 擴大了甲烷減排市場的活動,包括向主要的石油和天然氣客戶供應原型催化劑,以及完成針對海洋市場甲烷氧化催化劑的MAMII(海事甲烷減排倡議)的可行性研究。
Financial Highlights
財務要聞
- Total revenue for the full year 2023 was $8.6 million, compared to $9.7 million for 2022 with the decrease primarily attributable to a reduction in sales of FBC products in North America;
- Gross margin was 35%, compared to 32% for 2022;
- Total operating expenses for 2023 were $2.9 million compared to $3.0 million in 2022;
- Operating income was $115 thousand, compared $193 thousand in 2022; and
- Cash on hand at December 31, 2023 was $1.3 million, compared to $1.3 million at December 31, 2022.
- The Company's audited financial statements as of December 31, 2023 and for the fiscal year then ended are available on the Company's website at .
- 2023年全年的總收入爲860萬美元,而2022年爲970萬美元,下降的主要原因是FBC產品在北美的銷售減少;
- 毛利率爲35%,而2022年爲32%;
- 2023年的總運營支出爲290萬美元,而2022年爲300萬美元;
- 營業收入爲11.5萬美元,而2022年爲19.3萬美元;以及
- 截至2023年12月31日,手頭現金爲130萬美元,而截至2022年12月31日爲130萬美元。
- 公司截至2023年12月31日的經審計的財務報表以及截至該日止的財政年度的財務報表可在公司網站上查閱,網址爲。
About CDTi Advanced Materials
關於 CDTi 先進材料
CDTi Advanced Materials (OTC: CDTI) develops technology and materials for the emissions catalyst, industrial catalyst and electrocatalyst markets. CDTi believes that it possesses market leading expertise in catalyst design, engineering and manufacturing for combustion and energy storage applications. CDTi develops technology and materials incorporating various base metals that can enhance catalytic performance and reduce the use of costly platinum group metals ("PGMs") in catalyst coatings. For more information, please visit .
CDTi 先進材料(場外交易代碼:CDTI)爲排放催化劑、工業催化劑和電催化劑市場開發技術和材料。CDTi認爲,它在燃燒和儲能應用的催化劑設計、工程和製造方面擁有市場領先的專業知識。CDTi 開發含有各種基本金屬的技術和材料,可以增強催化性能並減少催化劑塗層中昂貴的鉑族金屬(“PGM”)的使用。欲了解更多信息,請訪問。
Forward-Looking Statements
前瞻性陳述
Certain information contained in this press release constitutes forward-looking statements, including any statements that are not statements of historical fact. You can identify these forward-looking statements by the use of the words "believes", "expects", "anticipates", "plans", "may", "will", "would", "intends", "estimates", and other similar expressions, whether in the negative or affirmative. Forward-looking statements are based on a series of expectations, assumptions, estimates and projections, which involve substantial uncertainty and risk. In this document, the Company includes forward-looking statements regarding the capabilities of and new markets for its products and technologies and the status of new technologies, and the impact of those products and technologies on the Company's future financial performance, which are subject to risks and uncertainties that could cause our actual results and financial position to differ materially, including, among other risks and uncertainties, those relating to the following: (i) that the Company may not be able to successfully implement, or implement at all, its strategic priorities; streamline its operations or align its organization and infrastructure with the anticipated business; meet expectations or projections; decrease costs; increase sales; obtain adequate funding; retain or secure customers; increase its customer base; protect its intellectual property; successfully evolve into an advanced materials supplier or, even if successful, increase profitability; successfully market new products; obtain product verifications or approvals; attract or retain key personnel; validate, optimize and scale powder-to-coat capability; or realize benefits from investments; (ii) funding for and enforcement and tightening of emissions controls, standards and regulations; (iii) prices of PGM and rare earth metals; (iv) royalty and other restrictions on sales in certain Asian countries; (v) supply disruptions or failures; (vi) regulatory, marketing and competitive factors; and (vii) environmental harm or damages. Any forward-looking statements represent the Company's estimates only as of the date of such statements and should not be relied upon as representing the Company's estimates as of any subsequent date. The Company specifically disclaims any obligation to update forward-looking statements. All forward-looking statements in this press release are qualified in their entirety by this cautionary statement.
本新聞稿中包含的某些信息構成前瞻性陳述,包括任何非歷史事實陳述的陳述。您可以使用 “相信”、“期望”、“預期”、“計劃”、“可能”、“將”、“將”、“打算”、“估計” 等詞語來識別這些前瞻性陳述,無論是負面還是肯定的。前瞻性陳述基於一系列預期、假設、估計和預測,其中涉及大量的不確定性和風險。在本文件中,公司包括關於其產品和技術的能力和新市場、新技術現狀以及這些產品和技術對公司未來財務業績的影響的前瞻性陳述,這些陳述受風險和不確定性的影響,可能導致我們的實際業績和財務狀況出現重大差異,包括與以下內容相關的風險和不確定性:(i) 公司可能無法成功實施或實施的風險和不確定性總而言之,其戰略重點;簡化運營或使其組織和基礎設施與預期業務保持一致;滿足預期或預測;降低成本;增加銷售;獲得充足的資金;留住或保護客戶;增加客戶群;保護其知識產權;成功發展成爲先進材料供應商,或即使成功也提高盈利能力;成功推銷新產品;獲得產品驗證或批准;吸引或留住關鍵人員;驗證、優化和擴大粉末塗料規模能力;或從投資中獲益;(ii)爲排放控制、標準和法規提供資金,執行和收緊排放控制、標準和法規;(iii)PGM和稀土金屬的價格;(iv)某些亞洲國家的特許權使用費和其他銷售限制;(v)供應中斷或故障;(vii)監管、營銷和競爭因素;以及(vii)環境危害或損害。任何前瞻性陳述僅代表公司截至此類陳述之日的估計,不應以此作爲公司隨後任何日期的估計。公司明確表示不承擔任何更新前瞻性陳述的義務。本新聞稿中的所有前瞻性陳述均受本警示聲明的全部限制。
Investor Relations Contact Information
+1 805 486 4649
investors@cdti.com
投資者關係聯繫信息
+1 805 486 4649
investors@cdti.com
[Tables to follow]
[下表]
CDTi ADVANCED MATERIALS, INC.
CDTi 先進材料有限公司
Consolidated Statements of Comprehensive Income (Loss)
(in thousands)
綜合收益(虧損)合併報表
(以千計)
Years Ended December 31, | ||||||||
2023 | 2022 | |||||||
Revenues |
$ | 8,557 | $ | 9,744 | ||||
Cost of revenues |
5,588 | 6,600 | ||||||
Gross profit |
2,969 | 3,144 | ||||||
Operating expenses: |
||||||||
Research and development |
930 | 776 | ||||||
Selling, general and administrative |
1,924 | 2,175 | ||||||
Total operating expenses |
2,854 | 2,951 | ||||||
Operating income |
115 | 193 | ||||||
Other income (loss), net |
47 | (60) | ||||||
Income before income tax |
162 | 133 | ||||||
Provision for income taxes |
883 | (18) | ||||||
Net income |
1,045 | 115 | ||||||
Foreign currency translation adjustments |
17 | (81) | ||||||
Comprehensive income |
$ | 1,062 | $ | 34 |
截至12月31日的年份 | ||||||||
2023 | 2022 | |||||||
收入 |
$ | 8,557 | $ | 9,744 | ||||
收入成本 |
5,588 | 6,600 | ||||||
毛利 |
2,969 | 3,144 | ||||||
運營費用: |
||||||||
研究和開發 |
930 | 776 | ||||||
銷售、一般和管理 |
1,924 | 2,175 | ||||||
運營費用總額 |
2,854 | 2,951 | ||||||
營業收入 |
115 | 193 | ||||||
其他收入(虧損),淨額 |
47 | (60) | ||||||
所得稅前收入 |
162 | 133 | ||||||
所得稅準備金 |
883 | (18) | ||||||
淨收入 |
1,045 | 115 | ||||||
外幣折算調整 |
17 | (81) | ||||||
綜合收入 |
$ | 1,062 | $ | 34 |
CDTi ADVANCED MATERIALS, INC.
Consolidated Balance Sheets
(in thousands, except share and per share amounts)
CDTi 先進材料有限公司
合併資產負債表
(以千計,股票和每股金額除外)
December 31, | |||||||||
2023 | 2022 | ||||||||
ASSETS |
|||||||||
Current assets: |
|||||||||
Cash |
$ | 1,300 | $ | 1,304 | |||||
Accounts receivable, net of allowance for doubtful accounts of $70 |
1,255 | 1,344 | |||||||
Inventories |
978 | 1,040 | |||||||
Prepaid expenses and other current assets |
74 | 63 | |||||||
Total current assets |
3,607 | 3,751 | |||||||
Property and equipment, net |
333 | 204 | |||||||
Intangible assets, net |
190 | 261 | |||||||
Right-of-use assets, operating lease |
578 | 757 | |||||||
Other assets |
104 | 104 | |||||||
Total assets |
$ | 4,812 | $ | 5,077 | |||||
LIABILITIES AND STOCKHOLDERS' EQUITY |
|||||||||
Current liabilities: |
|||||||||
Accounts payable |
$ | 549 | $ | 474 | |||||
Accrued expenses and other current liabilities |
512 | 850 | |||||||
Operating lease liability, current |
201 | 168 | |||||||
Liability for income taxes |
1 | 898 | |||||||
Total current liabilities |
1,263 | 2,390 | |||||||
Operating lease liability, net of current portion |
395 | 595 | |||||||
Total liabilities |
1,658 | 2,985 | |||||||
Commitments and contingencies (Note 11) |
|||||||||
Stockholders' equity: |
|||||||||
Preferred stock, par value $0.01 per share: authorized 100,000; no shares issued and outstanding |
- | - | |||||||
Common stock, par value $0.01 per share: 50,000,000 shares authorized, 4,501,301 issued and outstanding at December 31, 2023 and 2022 |
45 | 45 | |||||||
Additional paid-in capital |
241,852 | 241,852 | |||||||
Accumulated other comprehensive loss |
(6,141) | (6,158) | |||||||
Accumulated deficit |
(232,602) | (233,647) | |||||||
Total stockholders' equity |
3,154 | 2,092 | |||||||
Total liabilities and stockholders' equity |
$ | 4,812 | $ | 5,077 |
十二月三十一日 | |||||||||
2023 | 2022 | ||||||||
資產 |
|||||||||
流動資產: |
|||||||||
現金 |
$ | 1,300 | $ | 1,304 | |||||
應收賬款,扣除70美元可疑賬款備抵後的淨額 |
1,255 | 1,344 | |||||||
庫存 |
978 | 1,040 | |||||||
預付費用和其他流動資產 |
74 | 63 | |||||||
流動資產總額 |
3,607 | 3,751 | |||||||
財產和設備,淨額 |
333 | 204 | |||||||
無形資產,淨額 |
190 | 261 | |||||||
使用權資產、經營租賃 |
578 | 757 | |||||||
其他資產 |
104 | 104 | |||||||
總資產 |
$ | 4,812 | $ | 5,077 | |||||
負債和股東權益 |
|||||||||
流動負債: |
|||||||||
應付賬款 |
$ | 549 | $ | 474 | |||||
應計費用和其他流動負債 |
512 | 850 | |||||||
經營租賃負債,當前 |
201 | 168 | |||||||
所得稅的責任 |
1 | 898 | |||||||
流動負債總額 |
1,263 | 2,390 | |||||||
經營租賃負債,扣除流動部分 |
395 | 595 | |||||||
負債總額 |
1,658 | 2,985 | |||||||
承付款和或有開支(注11) |
|||||||||
股東權益: |
|||||||||
優先股,面值每股0.01美元:授權10萬股;未發行和流通股票 |
- | - | |||||||
普通股,面值每股0.01美元:截至2023年12月31日和2022年12月31日已授權5000萬股,已發行和流通4,501,301股 |
45 | 45 | |||||||
額外的實收資本 |
241,852 | 241,852 | |||||||
累計其他綜合虧損 |
(6,141) | (6,158) | |||||||
累計赤字 |
(232,602) | (233,647) | |||||||
股東權益總額 |
3,154 | 2,092 | |||||||
負債和股東權益總額 |
$ | 4,812 | $ | 5,077 |
SOURCE: CDTi Advanced Materials, Inc.
來源:CDTi 先進材料公司
譯文內容由第三人軟體翻譯。