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NXT Energy Solutions Announces Second Quarter 2024 Results

NXT Energy Solutions Announces Second Quarter 2024 Results

NXt能源解決方案公司公佈2024年第二季度業績報告
Accesswire ·  08/15 05:30

CALGARY, AB / ACCESSWIRE / August 14, 2024 / NXT Energy Solutions Inc. ("NXT" or the "Company") (TSX:SFD)(OTCQB:NSFDF) today announced the Company's financial and operating results for the quarter ended June 30, 2024. All dollar amounts herein are in Canadian Dollars unless otherwise identified.

艾伯塔省卡爾加里/ACCESSWIRE/2024年8月14日/nXt Energy Solutions Inc.(「NXT」 或 「公司」)(多倫多證券交易所股票代碼:SFD)(場外交易所股票代碼:NSFDF)今天公佈了公司截至2024年6月30日的季度財務和經營業績。除非另有說明,否則此處的所有美元金額均以加元爲單位。

Financial and Operating Highlights

財務和運營亮點

Key financial and operational highlights during the second quarter of 2024 are summarized below:

2024年第二季度的主要財務和運營亮點彙總如下:

  • NXT announced the Southeast Asia SFD Survey, which is planned to be flown in Q3-24;

  • the debentures issued to MCAPM LP were finalized for a total of US$2.0 million (approximately CDN$2.7 million);

  • cash and short-term investments at June 30, 2024 was approximately $2.43 million;

  • net working capital was approximately ($1.24) million at June 30, 2024 versus approximately ($1.86) million at December 31, 2023, and ($2.64) million at March 31, 2024;

  • the Company recorded SFD-related revenues of approximately $0.60 million YTD 2024, $nil for Q2-24;

  • a net loss of $3.01 million was recorded for Q2-24, including stock-based compensation expense ("SBCE"), amortization expense and remeasurement loss, all totaling approximately $1.53 million;

  • a net loss of $4.80 million was recorded for YTD 2024, including SBCE, amortization expense and remeasurement loss all totaling approximately $2.02 million;

  • net loss per common share for Q2-24 was $0.04 per share, basic and diluted;

  • net loss per common share for YTD 2024 was $0.06 per share basic and diluted;

  • cash flow used in operating activities was approximately $0.67 million during Q2-24, compared to $1.01 million used in Q2-23;

  • cash flow used in operating activities was approximately $1.26 million during YTD 2024, compared to $2.41 million used in YTD 2023;

  • NXT surrendered approximately 3,207 square feet or approximately 31% of its office space to its landlord, and extended its lease on the reduced space until September 30, 2030;

  • general and administrative ("G&A") expenses increased by approximately $0.02 million (2%) in Q2-24 as compared to Q2-23; and

  • G&A expenses increased by approximately $0.18 million (10%) in YTD 2024 as compared to YTD 2023.

  • nXt 宣佈了東南亞 SFD 調查,該調查計劃在 Q3-24 中進行;

  • 向Mcapm LP發行的債券已敲定,總額爲200萬美元(約合270萬加元);

  • 截至2024年6月30日,現金和短期投資約爲243萬美元;

  • 截至2024年6月30日,淨營運資金約爲(124萬美元),而截至2023年12月31日的淨營運資金約爲(186萬美元),截至2024年3月31日約爲(264萬美元);

  • 該公司在2024年年初至今錄得的SFD相關收入約爲60萬美元,Q2-24 爲零;

  • Q2-24 的淨虧損爲301萬美元,包括股票薪酬支出(「SBCE」)、攤銷費用和調整虧損,總額約爲153萬美元;

  • 2024年年初至今的淨虧損爲480萬美元,包括SBCE、攤銷費用和重新評估虧損總額約爲202萬美元;

  • Q2-24 普通股每股淨虧損爲每股0.04美元,不論是基本虧損還是攤薄後;

  • 2024年年初至今,每股普通股淨虧損爲每股虧損0.06美元,攤薄後基本虧損爲0.06美元;

  • 在 Q2-24 期間,用於經營活動的現金流約爲67萬美元,而 Q2-23 中使用的現金流爲101萬美元;

  • 2024年年初至今,用於經營活動的現金流約爲126萬美元,而2023年年初至今使用的現金流爲241萬美元;

  • nXt向房東交出了約3,207平方英尺,約佔其辦公空間的31%,並將縮減空間的租約延長至2030年9月30日;

  • 與 Q2-23 相比,Q2-24 的一般和管理(「G&A」)支出增加了約2萬美元(2%);以及

  • 與2023年年初至今相比,2024年年初至今的併購支出增加了約18萬美元(10%)。

Key financial and operational highlights occurring subsequent to Q2-24 are summarized below:

Q2-24 之後出現的主要財務和運營亮點總結如下:

  • NXT received an advance payment for its upcoming Southeast Asia SFD survey.

  • nXt收到了即將進行的東南亞SFD調查的預付款。

Summary highlights of NXT's second quarter 2024 financial statements (with comparative figures to 2023) are noted below. All selected and referenced financial information noted below should be read in conjunction with the Company's June 30, 2024 unaudited condensed interim consolidated financial statements, the related Management's Discussion and Analysis ("MD&A").

下文列出了NXT2024年第二季度財務報表的摘要摘要(以及與2023年的比較數據)。下述所有選定和引用的財務信息應與公司2024年6月30日未經審計的簡明中期合併財務報表以及相關的管理層討論與分析(「MD&A」)一起閱讀。

(All in Canadian $)

Q2-24

Q2-23

2024 YTD

2023 YTD

Operating results:
SFD-related revenues

$

-

$

-

$

602,072

$

-

SFD-related costs, net

253,580

318,396

984,100

620,030

General & administrative expenses

962,043

941,707

1,983,349

1,803,061

Amortization

482,134

439,868

922,698

879,736

Interest and other expenses

1,315,456

6,838

1,511,738

18,629

Net loss
(3,013,213) (1,706,809) (4,799,813) (3,321,456)
Loss per common share:
Basic & diluted

$

(0.04)

$

(0.02)

$

(0.06)

$

(0.04)
Common shares outstanding as at end of the period

78,259,326

77,678,277

78,259,326

77,678,277

Weighted average of common shares outstanding: Basic & Diluted

78,201,292

77,648,279

78,143,297

77,053,575

Cash provided by (used in):
Operating activities

$

(666,131)

$

(1,010,292)

$

(1,259,897)

$

(2,410,311)
Financing activities

2,574,582

1,612,644

3,316,365

3,216,777

Investing activities
(71,344)

-

(95,446)

-

Effect of foreign rate changes on cash
(4,287) (19,467)

2,707

(19,479)
Net cash inflow

1,832,820

582,885

1,963,729

786,987

Cash and cash equivalents, beginning of the period

532,622

467,539

401,713

263,467

Cash and cash equivalents, end of the period

2,365,442

1,050,424

2,365,442

1,050,424

Total cash and short-term investments

2,433,939

1,050,424

2,433,939

1,050,424

Net working capital balance
(1,242,469) (2,349,194) (1,242,469) (2,349,194)
(全部以加元計)

Q2-24

Q2-23

2024 年至今

2023 年至今

經營業績:
SFD 相關收入

$

-

$

-

$

602,072

$

-

與SFD相關的成本,淨額

253,580

318,396

984,100

620,030

一般和管理費用

962,043

941,707

1,983,349

1,803,061

攤銷

482,134

439,868

922,698

879,736

利息和其他費用

1,315,456

6,838

1,511,738

18,629

淨虧損
(3,013,213) (1,706,809) (4,799,813) (3,321,456)
普通股每股虧損:
基本版和稀釋版

$

(0.04)

$

(0.02)

$

(0.06)

$

(0.04)
期末已發行普通股

78,259,326

77,678,277

78,259,326

77,678,277

已發行普通股的加權平均值:基本股和攤薄後普通股

78,201,292

77,648,279

78,143,297

77,053,575

提供的現金(用於):
運營活動

$

(666,131)

$

(1,010,292)

$

(1,259,897)

$

(2,410,311)
融資活動

2,574,582

1,612,644

3,316,365

3,216,777

投資活動
(71,344)

-

(95,446)

-

國外利率變動對現金的影響
(4,287) (19,467)

2,707

(19,479)
淨現金流入

1,832,820

582,885

1,963,729

786,987

期初的現金和現金等價物

532,622

467,539

401,713

263,467

期末的現金和現金等價物

2,365,442

1,050,424

2,365,442

1,050,424

現金和短期投資總額

2,433,939

1,050,424

2,433,939

1,050,424

淨營運資金餘額
(1,242,469) (2,349,194) (1,242,469) (2,349,194)

NXT's second quarter 2024 financial and operating results have been filed in Canada on SEDAR+ at , and will soon be available in the USA on EDGAR at www.sec.gov/edgar, as well as on NXT's website at .

NXT的2024年第二季度財務和經營業績已在加拿大SEDAR+上公佈,並將很快在美國的EDGAR上公佈,網址爲www.sec.gov/edgar,也將在NXT的網站上公佈,網址爲。

About NXT Energy Solutions Inc.

關於 NXT 能源解決方案公司

NXT Energy Solutions Inc. is a Calgary-based technology company whose proprietary airborne SFD survey system, applied in numerous basins around the world, uses the principles of quantum mechanics to infer stress anomalies of exploration interest. The method can be used both onshore and offshore to remotely identify areas conducive to fluid entrapment in order to recommend areas with commercial hydrocarbon and/or geothermal potential. The SFD survey system enables our clients to focus their exploration decisions concerning land commitments, data acquisition expenditures and prospect prioritization on areas with the greatest potential. SFD is environmentally friendly and unaffected by ground security issues or difficult terrain and is the registered trademark of NXT Energy Solutions Inc. NXT Energy Solutions Inc. provides its clients with an effective and reliable method to reduce time, costs, and risks related to exploration.

NXT Energy Solutions Inc.是一家總部位於卡爾加里的科技公司,其專有的機載SFD調查系統應用於全球許多盆地,使用量子力學原理來推斷勘探興趣的應力異常。該方法可用於陸上和海上遠程識別有利於流體滯留的區域,以便推薦具有商業碳氫化合物和/或地熱潛力的區域。SFD 調查系統使我們的客戶能夠將有關土地承諾、數據採集支出和前景優先順序的勘探決策集中在潛力最大的區域。SFD 對環境友好,不受地面安全問題或困難地形的影響,是 NXT 能源解決方案公司的註冊商標。NXT 能源解決方案公司爲其客戶提供了一種有效而可靠的方法,以減少與勘探相關的時間、成本和風險。

Contact Information

聯繫信息

For investor and media inquiries please contact:

投資者和媒體垂詢,請聯繫:

Eugene Woychyshyn

Michael Baker

Vice President of Finance & CFO

Investor Relations

302, 3320 - 17th AVE SW

302, 3320 - 17th AVE SW

Calgary, AB, T3E 0B4

Calgary, AB, T3E 0B4

+1 403 206 0805

+1 403 264 7020

nxt_info@nxtenergy.com

nxt_info@nxtenergy.com

Eugene Woychyshyn

邁克爾·貝克

財務副總裁兼首席財務官

投資者關係

302, 3320-西南第 17 大道

302, 3320-西南第 17 大道

艾伯塔省卡爾加里,T3E 0B4

艾伯塔省卡爾加里,T3E 0B4

+1 403 206 0805

+1 403 264 7020

nxt_info@nxtenergy.com

nxt_info@nxtenergy.com

Forward-Looking Statements

前瞻性陳述

Certain information provided in this press release may constitute forward-looking information within the meaning of applicable securities laws. Forward-looking information typically contains statements with words such as "anticipate", "believe", "estimate", "will", "expect", "plan", "schedule", "intend", "propose" or similar words suggesting future outcomes or an outlook. Forward-looking information in this press release includes, but is not limited to, information regarding: the timing of the Southeast Asia SFD survey. Although the Company believes that the expectations and assumptions on which the forward-looking statements are based are reasonable, undue reliance should not be placed on the forward-looking statements because the Company can give no assurance that they will prove to be correct. Since forward-looking statements address future events and conditions, by their very nature they involve inherent risks and uncertainties. Actual results could differ materially from those currently anticipated due to a number of factors and risks. Additional risk factors facing the Company are described in its most recent Annual Information Form for the year ended December 31, 2023 and MD&A for the three and six month ended June 30, 2024, which have been filed electronically by means of the System for Electronic Document Analysis and Retrieval ("SEDAR+") located at . The forward-looking statements contained in this press release are made as of the date hereof, and except as may be required by applicable securities laws, the Company assumes no obligation to update publicly or revise any forward-looking statements made herein or otherwise, whether as a result of new information, future events or otherwise.

本新聞稿中提供的某些信息可能構成適用證券法所指的前瞻性信息。前瞻性信息通常包含帶有 「預期」、「相信」、「估計」、「將」、「期望」、「計劃」、「時間表」、「打算」、「提議」 等詞語或暗示未來結果或前景的類似詞語的陳述。本新聞稿中的前瞻性信息包括但不限於有關以下方面的信息:東南亞SFD調查的時間安排。儘管公司認爲前瞻性陳述所依據的預期和假設是合理的,但不應過分依賴前瞻性陳述,因爲公司無法保證這些陳述將被證明是正確的。由於前瞻性陳述涉及未來的事件和狀況,因此就其本質而言,它們涉及固有的風險和不確定性。由於許多因素和風險,實際結果可能與目前的預期有重大差異。公司面臨的其他風險因素在其截至2023年12月31日的年度信息表和截至2024年6月30日的三個月和六個月的管理與分析報告中進行了描述,這些表格已通過位於的電子文檔分析和檢索系統(「SEDAR+」)以電子方式提交。本新聞稿中包含的前瞻性陳述自發布之日起作出,除非適用的證券法另有要求,否則公司沒有義務公開更新或修改此處或其他方式發表的任何前瞻性陳述,無論是由於新信息、未來事件還是其他原因。

Non-GAAP Measures

非公認會計准則指標

This news release contains disclosure respecting non-GAAP performance measures including net working capital which does not have a standardized meaning prescribed by US GAAP and may not be comparable to similar measures presented by other entities. This measure is included to enhance the overall understanding of NXT's ability to assess liquidity at a point in time. Readers are urged to review the section entitled "Non-GAAP Measures" in NXT's MD&A for the three-month period ended June 30, 2024 which is available under NXT's profile on SEDAR+ at , for a further discussion of such non-GAAP measures. The financial information accompanying this news release was prepared in accordance with US GAAP, unless otherwise noted. The MD&A and the unaudited condensed interim consolidated financial statements and notes for the three months ended June 30, 2024, are available in the Investor Relations section of , or under NXT's SEDAR+ profile at .

本新聞稿包含有關非公認會計准則績效指標的披露,包括淨營運資金,該指標不具有美國公認會計原則規定的標準化含義,可能無法與其他實體提出的類似指標進行比較。包括這項措施是爲了增強對NXT在某個時間點評估流動性的能力的總體理解。我們敦促讀者閱讀NXT在截至2024年6月30日的三個月期間的MD&A中題爲 「非公認會計准則指標」 的部分,該部分可在NXT在SEDAR+上的簡介下查閱,網址爲,以進一步討論此類非公認會計准則指標。除非另有說明,否則本新聞稿附帶的財務信息是根據美國公認會計原則編制的。截至2024年6月30日的三個月的管理層和分析以及未經審計的簡明中期合併財務報表和附註可在NXT的SEDAR+簡介的投資者關係部分或在NXT的SEDAR+簡介下查閱。

SOURCE: NXT Energy Solutions, Inc.

來源:NXT 能源解決方案有限公司


譯文內容由第三人軟體翻譯。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
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