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Vaso Corporation Announces Financial Results for Fourth Quarter and Full Year of 2021

Vaso Corporation Announces Financial Results for Fourth Quarter and Full Year of 2021

Vaso公司宣佈2021年第四季度和全年的財務業績
Accesswire ·  2022/03/30 21:11

The Company Reports Significant Growth in Revenue and Profitability

該公司報告收入和盈利能力大幅增長

PLAINVIEW, NY / ACCESSWIRE / March 30, 2022 / Vaso Corporation ("Vaso") (OTC PINK:VASO) today reported its operating results for the three months and year ended December 31, 2021.

紐約州普萊恩維尤/ACCESSWIRE/2022年3月30日 /Vaso Corporation(“Vaso”)(場外交易市場代碼:VASO)今天公佈了截至2021年12月31日的三個月和年度的經營業績。

"Driven by the extraordinary fourth-quarter growth in our professional sales service segment and equipment segment, the Company's total revenue for fiscal year 2021 reached $75.6 million, a growth of 8.2% over the prior year. Compounding it with an improvement in gross profit margin by 185 basis points, we recorded an annual operating profit of $2.8 million, an increase of 265.0% year-over-year," commented Dr. Jun Ma, President and Chief Executive Officer of Vaso Corporation. "Such an accomplishment would not be possible without the dedication and professionalism of our employees, who must be constantly balancing their life and work while facing the tremendous uncertainties in business and daily life during the pandemic. On behalf of the board of directors and the management of the Company, I thank you."

華碩公司總裁兼首席執行官馬駿博士評論説:“在我們的專業銷售服務部門和設備部門第四季度非同尋常的增長的推動下,公司2021年財政年度的總收入達到7,560萬美元,比上一財年增長8.2%。再加上毛利率提高185個基點,我們實現了280萬美元的年度運營利潤,同比增長265.0%。”沒有我們員工的奉獻精神和專業精神,就不可能取得這樣的成就,他們必須不斷地平衡自己的生活和工作,同時面對疫情期間商業和日常生活中的巨大不確定性。我代表公司董事會和管理層向你們表示感謝。

"The Company's balance sheet has been further strengthened after a total debt paydown of $8.1 million in 2021. In addition, deferred revenue as of December 31, 2021 was at a historical high of $25.0 million, a $7.3 million increase over the prior 12-month period. With a healthy cash position thanks to the positive cash flow of $7.8 million generated in operating activities during the year, and in light of the pandemic's recent tapering off, we remain optimistic about the Company's performance going forward," concluded Dr. Ma.

在2021年償還了810萬美元的債務後,公司的資產負債表得到了進一步加強。此外,截至2021年12月31日的遞延收入達到2500萬美元的歷史最高水平,比前12個月增加了730萬美元。由於年內經營活動產生了780萬美元的正現金流,公司的現金狀況健康,鑑於最近疫情的逐漸減少,我們對公司未來的業績保持樂觀。

Financial Results for Three Months Ended December 31, 2021

截至2021年12月31日的三個月的財務業績

For the three months ended December 31, 2021, revenue increased by 31.1% to $24.5 million from $18.7 million for the same period of 2020, due primarily to the increase of $5.4 million, or 75.1%, in revenue in our professional sales service segment as the result of higher deliveries of underlying equipment by our partner and a higher blended commission rate during the quarter. Revenue in our IT segment decreased 2.4%, to $10.6 million in the fourth quarter 2021, compared to the same quarter of 2020, while our equipment segment revenue increased 110.1% to $1.3 million from $0.6 million for the fourth quarter of 2020, primarily due to an increase in unit sales of our Biox products in China.

在截至2021年12月31日的三個月中,收入從2020年同期的1870萬美元增加到2450萬美元,增幅為31.1%,這主要是由於我們的合作伙伴交付了更多基礎設備以及本季度混合佣金率上升,我們的專業銷售服務部門的收入增加了540萬美元,增幅為75.1%。與2020年同期相比,2021年第四季度我們IT部門的收入下降了2.4%,降至1,060萬美元,而我們的設備部門收入從2020年第四季度的60萬美元增加到130萬美元,增幅為110.1%,這主要是由於我們的Biox產品在中國的單位銷售額增加。

Gross profit for the fourth quarter of 2021 increased by 41.5% to $15.7 million, compared with a gross profit of $11.1 million for the same quarter of 2020. This increase was primarily the result of the increase in revenue in the professional sales service and equipment segments.

2021年第四季度的毛利潤增長了41.5%,達到1570萬美元,而2020年同期的毛利潤為1110萬美元。這一增長主要是專業銷售服務和設備部門收入增加的結果。

Selling, general and administrative (SG&A) expenses for the fourth quarter of 2021 increased by 14.4% to $10.9 million, compared to $9.6 million for the fourth quarter of 2020. The increase was primarily attributable to an increase in personnel and travel costs in the professional sales service segment, offset by a decrease in personnel and other costs in the IT segment. SG&A expenses were 44.7% and 51.2% of revenue in the fourth quarter of 2021 and 2020, respectively.

與2020年第四季度的960萬美元相比,2021年第四季度的銷售、一般和行政(SG&A)費用增長了14.4%,達到1090萬美元。增加的主要原因是專業銷售服務部門的人員和差旅費用增加,但被信息技術部門人員和其他費用的減少所抵消。2021年第四季度和2020年第四季度,SG&A費用分別佔收入的44.7%和51.2%。

Net income for the three months ended December 31, 2021 was $3.3 million, compared with a net income of $1.2 million for the three months ended December 31, 2020.

截至2021年12月31日的三個月的淨收益為330萬美元,而截至2020年12月31日的三個月的淨收益為120萬美元。

Financial Results for Year Ended December 31, 2021

截至2021年12月31日的年度財務業績

For the year ended December 31, 2021, revenue increased by $5.7 million or 8.2% to $75.6 million when compared with $69.9 million for the year 2020. Revenue in our IT segment decreased 2.2% to $42.9 million for the year 2021, from 2020 revenue of $43.9 million, primarily due to a decrease of revenue in the network services business. Commission revenues in our professional sales service segment increased by 28.8% to $29.4 million in the year 2021, compared to $22.9 million in 2020. The increase was the result of higher equipment deliveries by our partner and higher blended commission rates for the equipment delivered during the year. Equipment segment revenue for the year 2021 increased by 4.2% to $3.2 million, from $3.1 million in 2020, principally due to an increase in product sales in our China operations, partially offset by the sale of 51% of our EECP business in the second quarter of 2020.

在截至2021年12月31日的一年中,收入增長了570萬美元或8.2%,達到7560萬美元,而2020年的收入為6990萬美元。我們IT部門的收入從2020年的4390萬美元下降到2021年的4290萬美元,降幅為2.2%,這主要是由於網絡服務業務收入的下降。我們的專業銷售服務部門的佣金收入在2021年增長了28.8%,達到2940萬美元,而2020年為2290萬美元。這一增長是由於我們的合作伙伴交付了更多的設備,以及年內交付的設備的混合佣金率更高。2021年設備部門的收入從2020年的310萬美元增加到320萬美元,增幅為4.2%,這主要是由於我們中國業務的產品銷售增加,但被2020年第二季度出售我們51%的EECP業務所部分抵消。

Gross profit for the year ended December 31, 2021 increased 11.8% to $43.1 million, from $38.6 million in 2020, as a result of the higher revenue in our professional sales service and equipment segments.

由於我們的專業銷售服務和設備部門的收入增加,截至2021年12月31日的年度毛利潤從2020年的3860萬美元增長到4310萬美元,增幅為11.8%。

SG&A expenses for the year ended December 31, 2021 increased $1.5 million or 4.2% to $38.6 million, or 51.1% of revenue, compared with $37.1 million, or 53.0% of revenue, for the same period in 2020. The increase resulted primarily from an increase of $2.4 million in personnel and travel costs in the professional sales service segment, partially offset by a decrease of $1.1 million in the IT segment due to lower personnel and travel costs.

截至2021年12月31日的一年中,SG&A費用增加了150萬美元,增幅為4.2%,達到3860萬美元,佔收入的51.1%,而2020年同期為3710萬美元,佔收入的53.0%。增加的主要原因是專業銷售服務部門的人員和旅行費用增加了240萬美元,但由於人員和旅行費用減少,信息技術部門減少了110萬美元,這部分抵消了增加的費用。

For the year ended December 31, 2021, the Company had net income of $6.1 million, $5.7 million greater than the net income of $358 thousand for the year ended December 31, 2020.

截至2021年12月31日的年度,公司的淨收益為610萬美元,比截至2020年12月31日的年度的淨收益35.8萬美元高出570萬美元。

Adjusted EBITDA (earnings before interest, taxes, depreciation and amortization, and share-based compensation) was $10.4 million for the year ended December 31, 2021 compared to Adjusted EBITDA of $3.6 million for the year ended December 31, 2020.

截至2021年12月31日的一年,調整後的EBITDA(扣除利息、税項、折舊和攤銷前的收益,以及基於股份的薪酬)為1040萬美元,而截至2020年12月31日的一年,調整後的EBITDA為360萬美元。

Net cash provided from operating activities in 2021 was $7.8 million, compared to net cash provided from operating activities of $5.9 million in 2020. The increase is principally due to the increase in profitability, offset by the increase in accounts receivable. Net cash decreased to $6.0 million at December 31, 2021, compared to $6.8 million at December 31, 2020. The decrease in cash is the net effect of positive cash from operating activities, reduced by the repayment of $8.1 million of debt. As of March 25, 2022, the Company's net cash was approximately $11.2 million.

2021年業務活動提供的現金淨額為780萬美元,而2020年業務活動提供的現金淨額為590萬美元。增加的主要原因是盈利能力的提高,但被應收賬款的增加所抵消。截至2021年12月31日,淨現金減少到600萬美元,而2020年12月31日為680萬美元。現金減少是業務活動產生的正現金減去償還810萬美元債務後產生的淨影響。截至2022年3月25日,該公司的淨現金約為1120萬美元。

Deferred revenue increased to $25.0 million at December 31, 2021, compared to $17.7 million at December 31, 2020. The increase is primarily the result of high order bookings in the professional sales service segment. The deferred revenue will be recognized in the future when the underlying equipment or services are delivered and accepted at the customer site.

截至2021年12月31日,遞延收入增至2500萬美元,而截至2020年12月31日,遞延收入為1770萬美元。這一增長主要是由於專業銷售服務部門的高預訂量造成的。遞延收入將在未來基礎設備或服務在客户現場交付和驗收時確認。

About Vaso

關於瓦索

Vaso Corporation is a diversified medical technology company with several distinctive but related specialties: managed IT systems and services, including healthcare software solutions and network connectivity services; professional sales services for diagnostic imaging products; and design, manufacture and sale of proprietary medical devices.

Vaso公司是一家多元化的醫療技術公司,擁有幾個獨特但相關的專業:管理型IT系統和服務,包括醫療軟件解決方案和網絡連接服務;診斷成像產品的專業銷售服務;以及專有醫療設備的設計、製造和銷售。

The Company operates through three wholly owned subsidiaries:

本公司透過三間全資附屬公司經營:

  • VasoTechnology, Inc. provides network and IT services through two business units: VasoHealthcare IT Corp., a national value added reseller of Radiology Information System ("RIS"), Picture Archiving and Communication System ("PACS"), and other software solutions from various vendors as well as related services, including implementation, management and support; and NetWolves Network Services LLC, a managed network services provider with an extensive, proprietary service platform to a broad base of customers.
  • Vaso Diagnostics, Inc. d.b.a. VasoHealthcare, provides professional sales services and is the operating subsidiary for the exclusive sales representation of GE Healthcare diagnostic imaging products in certain market segments in the USA.
  • VasoMedical, Inc. manages and coordinates the design, manufacture and sales of proprietary medical equipment and software, as well as operates the Company's overseas assets including China-based subsidiaries.
  • VasoTechnology公司通過兩個業務部門提供網絡和IT服務:VasoHealthcare IT Corp.是放射信息系統(RIS)、圖片存檔和通信系統(PACS)以及來自不同供應商的其他軟件解決方案以及相關服務的全國性增值經銷商;NetWolves Network Services LLC是一家管理型網絡服務提供商,為廣泛的客户羣提供廣泛的專有服務平臺。
  • Vaso診斷公司D.B.A.VasoHealthcare提供專業的銷售服務,是GE Healthcare診斷成像產品在美國某些細分市場的獨家銷售代表的運營子公司。
  • Vasomedical,Inc.管理和協調專有醫療設備和軟件的設計、製造和銷售,並運營該公司的海外資產,包括總部設在中國的子公司。

Additional information is available on the Company's website at .

欲瞭解更多信息,請訪問公司網站:。

Summarized Financial Information

財務信息摘要

FOR THE THREE MONTHS ENDED FOR THE YEAR ENDED
STATEMENTS OF OPERATIONS
December 31, 2021 December 31, 2020 December 31, 2021 December 31, 2020
(In thousands)
(Unaudited)
Revenue
$ 24,500 $ 18,691 $ 75,579 $ 69,850
Gross profit
15,674 11,076 43,133 38,571
Operating income
3,443 1,302 2,819 772
Other income (expense), net
(67 ) (30 ) 3,432 (415 )
Income before taxes
3,376 1,272 6,251 357
Income tax benefit (expense)
(64 ) (96 ) (151 ) 1
Net income
3,312 1,176 6,100 358
Income tax (benefit) expense
64 96 151 (1 )
Interest (income) expense, net
40 129 301 675
Depreciation and amortization
2,092 601 3,840 2,462
Non-cash stock-based compensation
6 19 31 88
Adjusted EBITDA*
$ 5,514 $ 2,021 $ 10,423 $ 3,582
截至以下三個月 截至該年度為止
營運説明書
2021年12月31日 2020年12月31日 2021年12月31日 2020年12月31日
(單位:千)
(未經審計)
收入
$ 24,500 $ 18,691 $ 75,579 $ 69,850
毛利
15,674 11,076 43,133 38,571
營業收入
3,443 1,302 2,819 772
其他收入(費用),淨額
(67 ) (30 ) 3,432 (415 )
税前收入
3,376 1,272 6,251 357
所得税優惠(費用)
(64 ) (96 ) (151 ) 1
淨收入
3,312 1,176 6,100 358
所得税(福利)費用
64 96 151 (1 )
利息(收入)費用淨額
40 129 301 675
折舊及攤銷
2,092 601 3,840 2,462
非現金股票薪酬
6 19 31 88
調整後的EBITDA*
$ 5,514 $ 2,021 $ 10,423 $ 3,582
BALANCE SHEETS
December 31, 2021 December 31, 2020
(In thousands)
Total current assets
$ 27,803 $ 22,268
Total assets
$ 52,361 $ 50,376
Total current liabilities
$ 31,000 $ 31,699
Total stockholders' equity
$ 11,310 $ 5,085
資產負債表
2021年12月31日 2020年12月31日
(單位:千)
流動資產總額
$ 27,803 $ 22,268
總資產
$ 52,361 $ 50,376
流動負債總額
$ 31,000 $ 31,699
股東權益總額
$ 11,310 $ 5,085

*Adjusted EBITDA is earnings before interest, taxes, depreciation and amortization and non-cash stock-based compensation

*調整後的EBITDA為扣除利息、税項、折舊和攤銷前的收益以及基於非現金的股票薪酬

Except for historical information contained in this release, the matters discussed are forward-looking statements that involve risks and uncertainties. When used in this report, words such as "anticipates", "believes", "could", "estimates", "expects", "may", "optimistic", "plans", "potential" and "intends" and similar expressions, as they relate to the Company or its management, identify forward-looking statements. Such forward-looking statements are based on the beliefs of the Company's management, as well as assumptions made by and information currently available to the Company's management. Among the factors that could cause actual results to differ materially are the following: the effect of business and economic conditions, including the impact of the current COVID-19 pandemic; the effect of the dramatic changes taking place in IT and healthcare; continuation of the GEHC agreement; the impact of competitive technology and products and their pricing; medical insurance reimbursement policies; unexpected manufacturing or supplier problems; unforeseen difficulties and delays in product development programs; the actions of regulatory authorities and third-party payers in the United States and overseas; and the risk factors reported from time to time in the Company's SEC reports. The Company undertakes no obligation to update forward-looking statements as a result of future events or developments.

除本新聞稿中包含的歷史信息外,討論的事項均為前瞻性陳述,涉及風險和不確定因素。在本報告中使用的“預期”、“相信”、“可能”、“估計”、“預期”、“可能”、“樂觀”、“計劃”、“潛在”和“打算”等詞語以及與公司或其管理層有關的類似表述都是前瞻性陳述。這些前瞻性陳述是基於公司管理層的信念,以及公司管理層所做的假設和目前可獲得的信息。可能導致實際結果大不相同的因素包括:商業和經濟條件的影響,包括當前新冠肺炎疫情的影響;IT和醫療保健領域發生巨大變化的影響;GEHC協議的延續;競爭性技術和產品及其定價的影響;醫療保險賠付政策;意想不到的製造或供應商問題;產品開發計劃中意想不到的困難和延誤;美國和海外監管機構和第三方付款人的行動;以及公司在美國證券交易委員會報告中不時報告的風險因素。公司不承擔因未來事件或發展而更新前瞻性陳述的義務。

Investor Contact:

投資者聯繫方式:

Michael J. Beecher
Investor Relations
Phone: 516-508-5840
Email: mbeecher@vasocorporation.com

邁克爾·J·比徹
投資者關係
電話:516-508-5840
電子郵件:mbeecher@vasocorporation.com

SOURCE: Vaso Corporation

資料來源:Vaso公司


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