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BUTLER NATIONAL CORPORATION ANNOUNCES FIRST QUARTER FISCAL YEAR 2025 FINANCIAL RESULTS

BUTLER NATIONAL CORPORATION ANNOUNCES FIRST QUARTER FISCAL YEAR 2025 FINANCIAL RESULTS

巴特勒國家公司宣佈2025財年第一季度財務業績
PR Newswire ·  09/13 22:15

- Operating income increased 211% to $3.5 million for the first quarter of fiscal 2025 compared to $1.1 million for the first quarter of fiscal 2024 -

- 營業收入比2024財年第一季度的110萬美元增長了211%,達到了350萬美元,2025財年第一季度。

OLATHE, Kan., Sept. 13, 2024 /PRNewswire/ -- Butler National Corporation (OTCQX: BUKS), a leader in the growing global market for aircraft modification, maintenance, repair and overhaul (MRO) and a recognized provider of gaming management services, announces its financial results for the first quarter fiscal 2025 ended July 31, 2024.

2024年9月13日,堪薩斯州奧拉西(OLATHE) / 資訊社/ -- 全球飛機改裝、維護、維修和改裝(MRO)市場領導者Butler National Corporation(OTCQX:BUKS)宣佈截至2024年7月31日的2025財年第一季度財務業績。該公司還是遊戲管理業務的知名提供商。

Historical selected financial data related to all operations:











Quarter Ended July 31,




(In thousands, except per share data)




2024



2023


Revenue


$

19,828



$

17,185


Operating Income


$

3,536



$

1,137


Net Income


$

2,246



$

719


Total Assets


$

114,649



$

105,000


Long-term liabilities


$

35,937



$

40,574


Stockholders' Equity


$

56,292



$

42,216


Weighted Average Shares - Diluted



68,738




75,199


Earnings Per Share


$

0.03



$

0.01


New Product Research and Development Cost


$

220



$

205


所有業務相關的歷史選定財務數據:











截至7月31日的季度末




(以千爲單位,除每股數據外)




2024



2023


營業收入


$

19,828



$

284,363


營業收入


$

3,536



$

百萬美元,並用於減少歐元、以色列新謝克爾(「NIS」)、英鎊、日元、韓元和人民幣的外幣風險。關於這些衍生工具,獲得了$


淨利潤


$

2,246



$

719


總資產


$

114,649



$

ITEM 2.管理層對財務狀況和運營結果的討論和分析。


長期負債


$

35,937



$

40,574


股東權益


$

56,292



$

42,216


加權平均攤薄股數



68,738




75,199


每股收益


$

0.03



$

0.01


新產品研發成本


$

220



$

205


Management Comments

管理層評論

Butler National's fiscal first quarter ended July 31, 2024 continued the positive results and focus on internal growth. Company earnings for the quarter were $ 0.03 per share. Revenue increased 15% to $19.8 million in the three months ended July 31, 2024, as compared to $17.2 million in the three months ended July 31, 2023. The revenue increase reflects a jump of 30% in Aerospace Products revenue and an increase of 2% in Professional Services revenue. Our Aerospace Products representatives continue to work globally to develop new relationships and expand existing contracts that result in aircraft modification opportunities. Many opportunities result in program efforts for new Federal Aviation Administration supplemental type certificate approvals ("STCs"). Sports wagering highlighted the Professional Services segment with $1.0 million of quarterly revenue.

Butler National的2024財年第一季度截至2024年7月31日的正面業績和內部增長重點持續。該季度公司每股收益爲0.03美元。截至2024年7月31日的三個月內,營業收入增加15%,達到1980萬美元,而2023年7月31日的三個月內爲1720萬美元。營業收入的增加反映了航空產品營收增長30%,專業服務營收增長2%。我們的航空產品代表繼續在全球範圍內開展工作,以發展新關係和擴大現有合同,從而帶來飛機改裝的機會。許多機會導致了新的聯邦航空局補充型號證書("STC")項目。體育博彩突顯了專業服務領域,季度營收達到100萬美元。

First quarter fiscal 2025 net income was $2.2 million compared to a net income of $719,000 in the first quarter fiscal 2024. First quarter fiscal 2025 operating income was $3.5 million compared to $1.1 million in first quarter fiscal 2024. We continue to recruit new employees at the New Century facility to scale-up operations and have incurred additional wage expenses in an effort to remain competitive in a tight labor market. We also continue to review operational processes and methods to control general and administrative expenses.

2025財年第一季度淨收入爲220萬美元,而2024財年第一季度爲71.9萬美元。2025財年第一季度營業收入爲350萬美元,而2024財年第一季度爲110萬美元。我們繼續在新世紀設施招聘新員工,以擴大業務規模,並因勞動力市場緊張而增加了額外的工資支出,以保持競爭力。我們還繼續審查運營流程和方式,以控制一般和行政開支。

During the three months ended July 31, 2024, we invested approximately $609,000 in the development of new STC's. This expenditure for design and development engineering, testing, and certification of new products is necessary to remain competitive and adapt for technology changes for Aerospace Products. STC development is essential to our long-term revenue and profits. Avcon continues development of and manufacturing for the King Air Cargo Door project. Long lead-time tooling and parts have lengthened the product schedule.

在2024年7月31日結束的三個月內,我們投資了約60.9萬美元用於新STC的開發。這筆支出用於設計和開發工程、測試和新產品的認證,以保持競爭力並適應航空產品的技術變革。STC的開發對我們的長期營收和利潤至關重要。Avcon繼續開發並製造King Air貨艙門項目。長交付時間的工裝和零部件延長了產品進度。

We are pleased with the continued demand for Aerospace Products and the efforts by our team members with achieving the results. The $0.03 per share earnings are a result of normal production operations and reflects the impact of our focused internal training, increased raw material, costs and wage pressures. The New Century airplane structural modification completions are growing as planned and integrating well with the avionics demands of customers. Newton Kansas modifications continue to focus on new product development and FAA approvals. From a production perspective, outstanding accolades go to the Tempe team for exceeding customer expectations and maintaining product deliveries ahead of schedule weeks ahead of customer schedule – we are very pleased with the continuing orders for gun controls and cabling.

我們對航空產品持續的需求和團隊成員取得的成果感到滿意。每股0.03美元的收益是正常生產運營的結果,反映了我們注重的內部培訓、原材料成本增加和工資壓力的影響。新世紀飛機結構改裝按計劃增長,並與顧客的航空電子需求完美結合。堪薩斯州牛頓的改裝繼續專注於新產品開發和FAA批准。從生產角度來看,Tempe團隊在超出客戶期望並提前數週交付產品的方面表現優異,我們對持續訂單和控制槍械以及佈線的繼續訂單感到非常滿意。

As the fiscal year continues, we are maintaining new product development efforts and working diligently to expand "kit" availability for certain aircraft modifications. Kits allow customers to complete field installations, a conservation of high-demand company employee resources and saving of transportation of airplanes to Kansas. We are addressing our parts fabrication growth requirements. We are expanding KC Machine for its parts support, and looking at other alternatives to maintain our vertically integrated processes. Opportunities are widespread for your Company right now.

隨着財年的繼續,我們正在進行新產品開發工作,並努力擴大某些飛機改裝的"套件"供應。套件可以使客戶完成現場安裝,節省公司高需求員工資源並減少飛機運輸到堪薩斯的成本。我們正在解決零部件製造的增長需求。我們正在擴大KC Machine的零件支持,並尋找其他維持我們垂直一體化流程的替代方案。現在對貴公司來說機遇廣闊。

From a backlog perspective, numbers remain robust. The backlog is at a record high of $38.2 million. The relationship with our Draft Kings contracted platform for online/interactive sports wagering for Kansans on behalf of the Kansas Lottery continues to be a significant revenue source for the Professional Services Segment. The DraftKings branded retail sportsbook in the Boot Hill Casino & Resort is first class operation adjacent to our traditional casino games. Our Boot Hill Casino Team continues to diligently promote tourism and player development to facilitate increased patronage. In summary, management and employees continue working on new products, new STCs, quality staffing, production and cost management. Enhancing shareholder value remains a priority.

從未清訂單的角度來看,數字依然強勁。訂單總額創下了3820萬美元的歷史新高。與咱們的Draft Kings合約平台合作,爲堪薩斯彩票的在線/交互式體育投注提供服務,這仍然是專業服務業績的重要來源。位於Boot Hill Casino & Resort的DraftKings品牌零售體育博彩場所運營一流,毗鄰傳統賭場。我們的Boot Hill Casino團隊繼續努力促進旅遊和玩家發展,以增加客流量。總而言之,管理層和員工在新產品、新STC(特殊技術標準證書)、高素質員工、生產和成本管理方面繼續努力。提升股東價值仍然是首要任務。

We invite shareholders to attend the October 30, 2024 annual shareholder meeting.

我們邀請股東參加於2024年10月30日的年度股東大會。

Business Segment Highlights

業務板塊摘要

Professional Services:
Revenue increased 2% for the three months ended July 31, 2024 to $9.2 million compared to $9.0 million in the three months ended July 31, 2023. The increase is due to an increase in sports wagering revenue to $1.0 million in the three months ended July 31, 2024 compared to $701,000 in the three months ended July 31, 2023. Costs remained constant in the three months ended July 31, 2024 at $3.9 million compared to $3.9 million for the three months ended July 31, 2023. Expenses decreased 4% in the three months ended July 31, 2024 at $3.2 million compared to $3.3 million in the three months ended July 31, 2023. Expenses were 35% of segment total revenues in the three months ended July 31, 2024, as compared to 37% of segment total revenues in the three months ended July 31, 2023. There was an operating income of $2.1 million in the three months ended July 31, 2024 compared to an operating income of $1.8 million in the three months ended July 31, 2023.

Edelman
2024年7月31日結束的三個月內,營業收入增長了2%,達到920萬美元,而2013年7月31日結束的三個月內爲900萬美元。增長的原因是體育博彩收入的增加,2024年7月31日結束的三個月內爲100萬美元,而2013年7月31日結束的三個月內爲70.1萬美元。2024年7月31日結束的三個月內,成本保持不變,爲390萬美元,與2013年7月31日結束的三個月內相同。2024年7月31日結束的三個月內,各項費用減少了4%,爲320萬美元,而2013年7月31日結束的三個月內爲330萬美元。各項費用佔2024年7月31日結束的三個月內分部總收入的比例爲35%,而2013年7月31日結束的三個月內爲37%。2024年7月31日結束的三個月內,營業利潤爲210萬美元,而2013年7月31日結束的三個月內爲180萬美元。

Aerospace Products:
Revenue increased 30% to $10.6 million in the three months ended July 31, 2024, compared to $8.1 million in the three months ended July 31, 2023. The increase in revenue is mainly due to a $1.6 million increase in aircraft modification business and an increase in special mission electronics business of $1.1 million. Costs increased by 2% in the three months ended July 31, 2024 to $7.5 million compared to $7.3 million for the three months ended July 31, 2023. Costs were 71% of segment total revenue in the three months ended July 31, 2024, compared to 90% of segment total revenue in the three months ended July 31, 2023. Expenses increased 19% in the three months ended July 31, 2024 to $1.7 million compared to $1.4 million in the three months ended July 31, 2023. Expenses were 16% of segment total revenue in the three months ended July 31, 2024, as compared to 18% of segment total revenue in the three months ended July 31, 2023. The increase is primarily due to receiving a $353,000 benefit from the forfeiture of shares during the three months ended July 31, 2023 compared to $0 in the three months ended July 31, 2024. There was an operating income from Aerospace Products of $1.4 million in the three months ended July 31, 2024 compared to an operating loss of $615,000 in the three months ended July 31, 2023.

航空產品:
營業收入在截至2024年7月31日的三個月內增長了30%,達到1060萬美元,而2023年7月31日的三個月爲810萬美元。營收增長主要是由於飛機改裝業務增加了160萬美元,特殊任務電子業務增加了110萬美元。2024年7月31日的三個月內成本增加了2%,達到750萬美元,而2023年7月31日的三個月爲730萬美元。2024年7月31日的三個月內成本佔分段總收入的71%,而2023年7月31日的三個月爲分段總收入的90%。2024年7月31日的三個月內支出增加了19%,達到170萬美元,而2023年7月31日的三個月爲140萬美元。2024年7月31日的三個月內支出佔分段總收入的16%,而2023年7月31日的三個月爲分段總收入的18%。這主要是因爲截至2023年7月31日的三個月內收到了來自股份沒收的35.3萬美元收益,而2024年7月31日的三個月爲0美元。截至2024年7月31日的三個月內,航空產品營業收入爲140萬美元,而截至2023年7月31日的三個月爲虧損61.5萬美元。

Costs related to Professional Services and Aerospace Products include the cost of engineering, labor, materials, equipment utilization, control systems, security and occupancy. Expenses related to Professional Services and Aerospace Products include marketing and advertising, employee benefits, depreciation and amortization, and general, administrative and other expenses.

專業服務和航空產品相關的成本包括工程、勞動力、材料、設備利用、控制系統、安防和佔用費用。與專業服務和航空產品相關的支出包括市場營銷和廣告、員工福利、折舊和攤銷以及總部行政和其他費用。

Backlog:
As of July 31, 2024, our backlog totaled approximately $38.2 million. The backlog includes firm, pending, and contract orders, which may not be completed within the next fiscal year. There can be no assurance that all orders will be completed or that some may ever commence.

積壓訂單:
截至2024年7月31日,我們的訂單積壓總額約爲3820萬美元。訂單積壓包括確定的、掛起的和合同訂單,這些訂單可能無法在下一個財政年度內完成。不能保證所有訂單都會完成,也可能永遠不會開始。

Our Business:
Butler National Corporation operates in the Aerospace and Professional Services business segments. The Aerospace Products segment includes the manufacture, sale and service of electronic equipment and modifications to aircraft structures and electrical systems to support special mission and commercial aviation operations. Additionally, we operate two Federal Aviation Administration ("FAA") Repair Stations. Butler National companies, Avcon Industries, Inc. and Butler Avionics, Inc., concentrate on enhancements to Learjet, Beechcraft King Air, Cessna Caravan, Gulfstream, and other turbine powered aircraft. Butler National-Tempe designs and manufactures robust electronic controls and cabling. The Professional Services segment includes the management of a gaming and the related dining and entertainment facility in Dodge City, Kansas. Boot Hill Casino and Resort features approximately 500 slot machines, 17 table games and a DraftKings branded sportsbook.

我們的業務:
Butler National Corporation經營航空和專業服務業務板塊。航空產品板塊包括製造、銷售和電子設備服務以及對飛機結構和電氣系統進行修改,支持特殊任務和商業航空作業。此外,我們經營兩家聯邦航空管理局("FAA")維修站。Butler National旗下的公司Avcon Industries, Inc和Butler Avionics, Inc專注於提升Learjet、Beechcraft King Air、Cessna Caravan、Gulfstream和其他渦輪動力飛機。Butler National-Tempe設計和製造穩固的電子控制器和電纜。專業服務板塊包括管理堪薩斯州道奇城的體育、餐飲和娛樂設施。Boot Hill Casino and Resort擁有約500台老虎機、17張桌上游戲和一個DraftKings品牌的體育博彩場。

Forward-Looking Information:
Statements made in this report, other reports and proxy statements filed with the Securities and Exchange Commission, communications to stockholders, press releases, and oral statements made by representatives of the Company that are not historical in nature, or that state the Company or management intentions, hopes, beliefs, expectations or predictions of the future, may constitute "forward-looking statements" within the meaning of Section 21E of the Securities and Exchange Act of 1934, as amended (the "Exchange Act"). Forward-looking statements can often be identified by the use of forward-looking terminology, such as "could," "should," "will," "intended," "continue," "believe," "may," "expect," "anticipate," "goal," "forecast," "plan," "guidance" or "estimate" or the negative of these words, variations thereof or similar expressions. Forward-looking statements are not guarantees of future performance or results. They involve risks, uncertainties, and assumptions. It is important to note that any such performance and actual results, financial condition or business, could differ materially from those expressed in such forward-looking statements. Factors that could cause or contribute to such differences include, but are not limited to, those discussed in Item 1A of the Company's Annual Report on Form 10-K, incorporated herein by reference. Risk Factors and elsewhere herein or in other reports filed with the SEC. Other unforeseen factors not identified herein could also have such an effect. We undertake no obligation to update or revise forward-looking statements to reflect changed assumptions, the occurrence of unanticipated events or changes in future operating results, financial condition or business over time, except as expressly required by federal securities laws.

前瞻性信息:
本報告中的陳述、其他報告、以及提交給證券交易委員會的代理報告、股東溝通、新聞發佈、以及公司代表口頭陳述,若非歷史性質,或陳述公司或管理層的意圖、希望、信念、期望或對未來的預測,可能構成根據《1934年證券交易法》第21E條修訂版(「交易法」)的「前瞻性陳述」。前瞻性陳述幾乎總是可以通過前瞻性術語識別,如「可能」,「應該」,「將」,「預期」,「繼續」,「相信」,「可能」,「期望」,「預料」,「目標」,「預測」,「計劃」,「指導」或「估計」或這些詞的否定形式,或這些詞的變體或類似表達。前瞻性陳述並非對未來業績或結果的保證。它們涉及風險、不確定性和假設。重要的是要注意,任何此類業績和實際結果、財務狀況或業務,可能會與此類前瞻性陳述中表達的有實質差異。導致或有助於此類差異的因素,包括但不限於,討論公司年度報告10-k表第1A項中所述內容,或本處引用的《風險因素》,以及此處或在提交給SEC的其他報告中討論的內容。未在此處識別的其他意外因素也可能產生此類影響。我們無需更新或修訂前瞻性陳述以反映變更的假設、未預料事件的發生,或隨着時間推移對未來運營結果、財務狀況或業務的變化,除非依法或明確要求的聯邦證券法規

FOR MORE INFORMATION, CONTACT:


David Drewitz, Public Relations

Ph (972) 814-5723

[email protected]





Butler National Corporation Investor Relations

Ph (913) 780-9595

更多信息,請聯繫:


David Drewitz,公共關係

電話(972)814-5723

[email protected]





Butler National Corporation投資者關係

電話(913) 780-9595

THE WORLDWIDE WEB:
Please review for pictures of our products and details about Butler National Corporation and its subsidiaries.

互聯網:
請查看我們產品的圖片以及有關Butler National Corporation及其子公司的詳細信息。

SOURCE Butler National Corporation

SOURCE Butler National Corporation

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