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Stardust Solar Energy Inc. Reports Q3 2024 Financial and Operational Results

Stardust Solar Energy Inc. Reports Q3 2024 Financial and Operational Results

星塵太陽能公司報告2024年第三季度財務和運營結果
newsfile ·  11/30 06:49

Vancouver, British Columbia--(Newsfile Corp. - November 29, 2024) - Stardust Solar Energy Inc. (TSXV: SUN) (FSE: 6330) ("Stardust," or the "Company"), a leading provider of residential solar energy solutions, today announced its financial and operating results for the three and nine months ended September 30, 2024.

溫哥華,英屬哥倫比亞——(資訊 corp. - 2024年11月29日)——星塵太陽能公司(tsxv: SUN)(FSE: 6330)("星塵"或"公司"),作爲一家領先的住宅太陽能解決方案提供商,今天公佈了截至2024年9月30日的三個月和九個月的財務和運營結果。

"The third quarter of 2024 marked a period of significant growth for Stardust as we continue executing our strategic initiatives," said Mark Tadros, Chief Executive Officer and Chairman of Stardust Solar. "While financial results reflected non-recurring expenses related to our transition to a public company, our operational performance demonstrated the strength of our franchise model and the beginning of our U.S. expansion. We remain focused on driving growth and value for our shareholders as we scale our business and capitalize on new market opportunities."

星塵首席執行官兼董事長馬克·塔德羅斯表示:「2024年第三季度標誌着星塵顯著增長的時期,因爲我們繼續執行我們的戰略舉措。雖然財務結果反映出與轉型爲上市公司相關的非經常性支出,但我們的運營表現證明了我們的特許經營模式的強大及我們美國擴張的開始。我們仍然專注於推動增長和爲股東創造價值,因爲我們在擴展業務並利用新市場機會。」

Q3 2024 Financial Highlights:

2024年第三季度財務亮點:

Revenue: Revenue was $896,000 in Q3 2024 and $2,846,000 for the nine months ending September 30, 2024, representing 81% and 52% increases for the same three and nine-month periods in 2023.

營業收入:2024年第三季度的營業收入爲896,000美元,截至2024年9月30日的九個月營業收入爲2,846,000美元,分別較2023年同三個月和九個月增長了81%和52%。

  • Product Sales: Product sales were $678,000 in Q3 2024 and $2,180,000 for the nine months ended September 30, 2024, representing increases of 129% and 81%, respectively, for the same three and nine-month periods in 2023.
  • Franchise Fees: Franchise fees were $147,000 in Q3 2024 and $400,000 for the nine months ended September 30, 2024, representing increases from $112,000 in Q3 2023 and $322,000 for the same nine-month period in 2023.
  • 產品銷售:2024年第三季度的產品銷售爲678,000美元,截至2024年9月30日的九個月產品銷售爲2,180,000美元,分別較2023年同三個月和九個月增長了129%和81%。
  • 特許經營費用:2024年第三季度的特許經營費用爲147,000美元,截至2024年9月30日的九個月特許經營費用爲400,000美元,分別較2023年第三季度的112,000美元和同九個月的322,000美元有所增加。

Gross Profit Margin: Gross profit margin was $280,000 in Q3 2024 and $822,000 for the nine months ended September 30, 2024, compared to a negative margin of $39,000 in Q3 2023 and $605,000 for the same nine-month period in 2023.

毛利潤率:2024年第三季度的毛利潤率爲280,000美元,截至2024年9月30日的九個月毛利潤率爲822,000美元,相較於2023年第三季度的負毛利潤率39,000美元和同九個月的605,000美元有所不同。

Net Cash Increase: Net cash increased by $1,178,000 for the nine months ended September 30, 2024, compared to $207,000 in the same period of 2023.

淨現金增加:截至2024年9月30日的九個月淨現金增加了1,178,000美元,而2023年同一時期的淨現金爲207,000美元。

Q3 2024 Operating Highlights:

2024年第三季度運營亮點:

Franchise System-Wide Sales: System-wide sales totalled $3.8 million for the nine months ended September 30, 2024, a 72% increase from $2.2 million for the same period in 2023. This growth reflects the continued expansion of our franchise network and the increasing adoption of renewable energy solutions. System-Wide Sales include total gross solar, battery, and EV charger system sales made by the company and all franchise outlets with signed installation contracts and agreements.

特許經營系統整體銷售:截至2024年9月30日的九個月中,系統整體銷售總額達到380萬,同比2023年同期的220萬增長了72%。這一增長反映了我們特許經營網絡的持續擴展,以及可再生能源解決方案的日益採用。系統整體銷售包括公司及所有簽署安裝合同和協議的特許經營店的太陽能、電池和電動車充電器系統的總毛銷售額。

Product Sales: Product sales for Q3 2024 increased by 129% compared to Q3 2023, driven by the growth of our franchise network and early-stage U.S. market penetration.

產品銷售:2024年第三季度的產品銷售與2023年第三季度相比增長了129%,推動這一增長的因素包括我們特許經營網絡的增長和美國市場的早期滲透。

Net Operating Loss: The net operating loss for the nine months ended September 30, 2024, includes non-recurring expenses related to the Company's Qualifying Transaction with Bold Capital Enterprises Ltd., enabling Stardust to achieve its listing on the TSX Venture Exchange. These expenses position the Company for long-term growth as a publicly traded entity.

淨運營虧損:截至2024年9月30日的九個月中的淨運營虧損包括與公司與Bold Capital Enterprises Ltd.的合格交易相關的非經常性費用,使得Stardust能夠在TSX創業公司交易所上市。這些費用爲公司作爲一家上市實體的長期增長奠定基礎。

Outlook:

展望:

Stardust Solar is strategically positioned for robust growth through 2024 and 2025, focusing on expanding its franchise network, geographic reach, and overall profitability. The Company is targeting over 100 franchise regions across North America by the end of 2025, driven by scalable franchise acquisition strategies and reinvestment in franchise support and marketing programs. Initiatives under consideration include increasing initial franchise fees in 2025 to align with rising demand and the enhanced value provided to franchisees. Strategic acquisitions and targeted expansion into the Northern U.S., Rust Belt, and other emerging markets are expected to increase market share growth. These initiatives will further enhance the Company's ability to deliver long-term value to shareholders.

Stardust太陽能在2024和2025年 strategically positioned for robust growth,通過擴展其特許經營網絡、地理覆蓋和整體盈利能力。該公司計劃在2025年底之前在北美目標超過100個特許經營地區,推動這一增長的因素包括可擴展的特許經營收購策略和對特許經營支持與營銷項目的再投資。正在考慮的舉措包括在2025年提高初始特許經營費用,以符合日益增長的需求以及提供給特許經營者的增強價值。預計戰略收購和對美國北部、工業帶和其他新興市場的目標擴展將促進市場份額的增長。這些舉措將進一步提升公司爲股東提供長期價值的能力。

Financial Statements and MD&A:

基本報表和管理討論與分析(MD&A):

The full financial statements and Management's Discussion and Analysis (MD&A) for the period are available on SEDAR at and the company's website at

該時期的完整基本報表和管理討論與分析(MD&A)可在SEDAR和公司網站上獲得。

About Stardust Solar

關於Stardust Solar

Stardust is a North American franchisor of renewable energy installation services, including solar panels (PV), energy storage systems, and electric vehicle supply equipment. Stardust lends its brand and business management services to entrepreneurs looking to enter the renewable energy industry. Stardust franchisees install and maintain clean energy systems for residential and commercial purposes. As a franchisor, Stardust supplies its franchisees with the following products: solar PV equipment, energy storage equipment, and electric vehicle supply equipment. In addition, Stardust supports its franchisees with many services from corporate headquarters, including marketing, sales, engineering, plan sets, customer service, and project management.

Stardust是一家北美的可再生能源安裝服務特許經營商,提供太陽能電池板(PV)、能源存儲系統和電動汽車充電設備。Stardust爲希望進入可再生能源行業的企業家提供品牌和業務管理服務。Stardust特許經營者安裝和維護用於住宅和商業用途的清潔能源系統。作爲特許經營商,Stardust向其特許經營者提供以下產品:太陽能PV設備、能源存儲設備和電動汽車充電設備。此外,Stardust還通過公司總部爲特許經營者提供多種服務,包括市場營銷、銷售、工程、計劃集、客戶服務和項目管理。

Media and Investor Contacts:

媒體和投資者聯繫人:

Mark Tadros
Chief Executive Officer, Chairman and Director

馬克·塔德羅斯
首席執行官,主席和董事

For further information or media requests, please contact:
Glen Nelson,
Investor Relations and Communications:
glen@stardustsolar.com t: (403) 763-9797
Email: investors@stardustsolar.com Website:

如需更多信息或媒體請求,請聯繫:
格倫·納爾遜,
投資者關係和通信:
glen@stardustsolar.com t: (403) 763-9797
電子郵件: investors@stardustsolar.com 網站:

Neither TSX Venture Exchange nor its Regulation Services Provider (as that term is defined in the policies of the TSX Venture Exchange) accepts responsibility for the adequacy or accuracy of this release.

TSX tsx Venture交易所及其監管服務提供商(如TSX Venture交易所的政策中所定義的那樣)不承擔此發佈的充分性或準確性的責任。

This news release does not constitute an offer to sell or a solicitation of an offer to sell any of the securities in the United States. The securities have not been and will not be registered under the United States Securities Act of 1933, as amended (the "U.S. Securities Act") or any state securities laws and may not be offered or sold within the United States or to U.S. Persons unless registered under the U.S. Securities Act and applicable state securities laws or an exemption from such registration is available.

關於BMEX Gold Inc。 BMEX Gold Inc.是一家加拿大初創的採礦勘探公司,其主要目標是在加拿大釀造友好的採礦區域——魁北克省獲得、勘探和開發可行的黃金和金屬基地項目。BMEX目前將全部精力投入到其兩個項目中,兩個項目均位於富有成效的阿比蒂比綠巖帶內: 金圖(King Tut)項目由120個毗鄰的權利主張組成,佔地5,206公頃; 鄧洛普灣(Dunlop Bay)項目由76個礦權主張組成,覆蓋4,226公頃。 BMEX普通股在TSX-V交易所上交易,股票代碼爲"BMEX",在法蘭克福交易所上用"8M0"表示。

The information in this news release includes certain information and statements about management's view of future events, expectations, plans and prospects that constitute forward-looking statements, including statements relating to the Company's business plans and expected future growth. These statements are based upon assumptions that are subject to significant risks and uncertainties. Because of these risks and uncertainties and as a result of a variety of factors, the actual results, expectations, achievements or performance may differ materially from those anticipated and indicated by these forward-looking statements. Any number of factors could cause actual results to differ materially from these forward-looking statements as well as future results. Although the Company believes that the expectations reflected in forward-looking statements are reasonable, it can give no assurances that the expectations of any forward-looking statements will prove to be correct. Except as required by law, the Company disclaims any intention. It assumes no obligation to update or revise any forward-looking statements to reflect actual results, whether as a result of new information, future events, changes in assumptions, changes in factors affecting such forward-looking statements or otherwise.

本新聞稿中的信息包括有關管理層對未來事件、預期、計劃和前景的看法的某些信息和陳述,這些構成前瞻性陳述,包括與公司的業務計劃和預計未來增長相關的陳述。這些陳述基於受到重大風險和不確定性影響的假設。由於這些風險和不確定性以及多種因素的結果,實際結果、期望、成就或表現可能與這些前瞻性陳述所預計和指示的存在重大差異。任何因素都可能導致實際結果在實質上與這些前瞻性陳述以及未來結果存在重大差異。儘管公司相信前瞻性陳述中反映的期望是合理的,但不能保證任何前瞻性陳述的期望是否會被證明是正確的。除法律要求外,公司否認任何意圖。公司不承擔任何義務,以更新或修訂任何前瞻性陳述,以反映實際結果,無論是由於新信息、未來事件、假設的變化、影響此類前瞻性陳述的因素的變化還是其他原因。

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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