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Empower Clinics Reports Q1 2022 Results

Empower Clinics Reports Q1 2022 Results

Empower Clinics公佈2022年
Accesswire ·  2022/11/02 08:15

VANCOUVER, BC / ACCESSWIRE / November 1, 2022 / EMPOWER CLINICS INC (CSE:CBDT)(OTCQB:EPWCF) ("Empower" or the "Company") an integrated healthcare company - serving patients through medical centers, telemedicine platforms, a medical device company, and a high complexity medical diagnostics laboratory - announced today it has filed today its audited consolidated financial statements and related management's discussion and analysis, both of which are available at . All financial information in this press release is reported in United States dollars, unless otherwise indicated.

溫哥華,BC/ACCESSWIRE/2022年11月1日/Empower Clinics Inc.(CSE:CBDT)(場外交易市場:EPWCF)(“Empower”或“公司”)一家通過醫療中心、遠端醫療平臺、一家醫療設備公司和一個高度複雜的醫療診斷實驗室為患者提供服務的綜合醫療保健公司今天宣佈,它已於今天提交了經審計的合併財務報表和相關管理層的討論和分析,這兩份報表都可以在網上查閱。除非另有說明,本新聞稿中的所有財務資訊均以美元報告。

"We continued to invest in future growth in Q1 2022. We also endured pandemic related supply chain issues at The Medi-Collective and an operating environment at the Dallas laboratory that we were not satisfied with." said Steven McAuley, Chairman and CEO of Empower Clinics. "We continue to be impressed with the operating precision of Medisure Canada as it continues to receive government approvals to launch innovative medical devices. In addition, we put forth an incredible team effort in Vancouver to secure accreditation for the cruise ship COVID-19 testing program commencing April 2022. This effort followed an agreement with CERES Terminal to offer services to the cruise ship industry. We also completed the divesture of Sun Valley Health which allows Empower to only and fully focus on our integrated healthcare vision"

2022年第一季度,我們繼續投資於未來的增長。我們還忍受了Medi-Collective與疫情相關的供應鏈問題,以及達拉斯實驗室的運營環境,我們對此並不滿意。Empower Clinics董事長兼首席執行官史蒂文·麥考利說。我們繼續對加拿大醫療保健公司的運營精度印象深刻,因為它繼續獲得政府批准,推出創新的醫療設備。此外,我們在溫哥華做出了令人難以置信的團隊努力,以確保從2022年4月開始的郵輪新冠肺炎測試計劃獲得認證。這一努力是在與CERES碼頭達成為郵輪行業提供服務的協定之後做出的。我們還完成了對太陽谷健康公司的剝離,這使得Empower能夠只和完全專注於我們的綜合醫療保健願景。

Q1 2022 Highlights

2022年第一季度亮點

  • Total revenues from continuing operations of $1,106,950 for Q1 2022 compared to Q1 2021 revenues of $1,958,802, representing a 43% reduction.
  • Gross margin from continuing operations of 21% for Q1 2022, compared to 62% in Q1 2021, representing a 41% reduction.
  • Net loss from continuing operations of $2,298,925 or $0.01 per share compared to $24,928,263 or $0.08 per share for Q1 2021, which was primarily driven by a non-cash loss on the fair value adjustment related to the Company's warrants outstanding that were impacted by the significant appreciation of the Company's share price (a key input in determining the fair value).
  • Cash at March 31, 2022 of $2,518,743, compared to cash of $866,170 at December 31, 2021 as a result of completed financings since year end.
  • Cash used in operating activities of continuing operations was $1,969,588 for Q1 2022, compared to $1,215,767 for Q1 2021.
  • 2022年第一季度持續運營的總收入為1,106,950美元,而2021年第一季度的收入為1,958,802美元,下降了43%。
  • 2022年第一季度持續運營的毛利率為21%,而2021年第一季度為62%,下降了41%。
  • 持續經營的淨虧損為2,298,925美元,每股虧損0.01美元,而2021年第一季度為24,928,263美元,每股虧損0.08美元,這主要是由於受公司股價大幅升值(確定公允價值的關鍵因素)的影響,與公司未償還認股權證相關的公允價值調整出現了非現金虧損。
  • 2022年3月31日的現金為2,518,743美元,而2021年12月31日的現金為866,170美元,這是自年底以來完成融資的結果。
  • 2022年第一季度持續運營的運營活動中使用的現金為1,969,588美元,而2021年第一季度為1,215,767美元。

Recent Highlights Subsequent to period ended March 31, 2022

截至2022年3月31日期間的近期要點

  • Closure of two The Medi-Collective clinics: Following an operational review, the Company concluded that the Hamilton and Mississauga clinics did not meet the expansion goals of the Company. The Medi-Collective has six remaining clinic locations.
  • 關閉兩間醫療集體診所:在運營審查之後,該公司得出結論,漢密爾頓和密西索加診所沒有達到公司的擴張目標。醫療集體醫院還有六個剩餘的診所。

Financial Summary

財務摘要

$, except where noted
Three months ended March 31,
2022 2021
Total revenues
1,106,950 1,958,802
Direct clinic expenses
872,079 742,367
Loss from operations
(1,616,188 ) (1,104,446 )
Net loss from continuing operations
(2,298,925 ) (24,928,263 )
Adjusted EBITDA loss
(1,239,477 ) (547,790 )
Net loss per share, continuing operations, basic and diluted
(0.01 ) (0.08 )
$,除非另有說明
截至3月31日的三個月,
2022年 2021年
總收入
1,106,950 1958,802
直接診療費用
872,079 742,367
運營虧損
(1616,188) ) (1,104,446 )
持續經營淨虧損
(2298,925 ) (24928263 )
調整後的EBITDA虧損
(1239,477 ) (547,790 )
每股淨虧損,持續經營,基本虧損和攤薄
(0.01 ) (0.08 )

Financial Performance

財務業績

As part of total revenues, revenues from the Health & Wellness segment for Q1 2022 were $472,221 compared to Q1 2021 revenues of $244,131. This increase over prior year is attributable to the launch of The Medi-Collective and revenues from Canadian clinics.

作為總收入的一部分,2022年第一季度健康與健康部門的收入為472,221美元,而2021年第一季度的收入為244,131美元。這一增長歸因於Medi-Collective的推出,以及加拿大診所的收入。

Diagnostics & Technology revenue includes the sale of MediSure products and COVID-19 testing conducted by Kai Medical Laboratory. Diagnostics & Technology revenue for Q1 2022 were $634,729 with 24% attributable to COVID-19 testing, compared to Q1 2021 revenues of $1,714,671. This decrease over prior year is attributable to the relaxing of COVID-19 health restrictions.

診斷與技術收入包括銷售MediSure產品和由KAI醫學實驗室進行的新冠肺炎測試。2022年第一季度診斷技術收入為634,729美元,其中24%來自新冠肺炎測試,而2021年第一季度收入為1,714,671美元。與前一年相比,這一下降是由於新冠肺炎放寬了健康限制。

Direct expenses excluding depreciation and amortization for Q1 2022 were $872,079 compared to Q1 2021 direct clinic expenses of $742,367. This increase over prior year is attributable to the ramping up of operations in The Medi-Collective, investment in the launch of Vancouver testing facilities and is primarily driven by salaries and wages.

2022年第一季度不包括折舊和攤銷的直接費用為872,079美元,而2021年第一季度的直接臨床費用為742,367美元。這一增長是由於Medi-Collective業務的增長,以及對溫哥華測試設施啟動的投資,主要是由工資和工資推動的。

Loss from operations for Q1 2022 of $1,616,188 compared to Q1 2021 of $1,104,446. This increase in loss from prior year is primarily attributable to the increase in direct expenses and operating expenses, as well as a reduced gross margin resulting from lower margin operations in The Medi-Collective.

2022年第一季度運營虧損1,616,188美元,而2021年第一季度運營虧損1,104,446美元。虧損較上年增加主要是由於直接開支及營運開支增加,以及Medi-Collective業務毛利下降所致。

Net loss from continuing operations for Q1 2022 were $2,298,925, compared Q1 2021 of $24,928,263. This decrease over prior year is primarily attributable to the prior year change in fair value of the warrant liability in accordance with IFRS, which resulted from changes in the Company's share price during that period.

2022年第一季度持續運營的淨虧損為2,298,925美元,而2021年第一季度為24,928,263美元。這一減少主要是由於上一年根據國際財務報告準則認股權證負債的公允價值發生了變化,這是由於該期間公司股價的變化所致。

Adjusted EBITDA is a non-GAAP financial measure that is calculated as income (loss) from continuing operations before depreciation and amortization, interest, accretion, share-based compensation, and gain or loss from changes in fair value of warrant liability. Adjusted EBITDA loss in Q1 2022 was $1,239,475 compared to $547,790 in Q1 2021. Adjusted EBITDA is a metric used by management to monitor the Company's revenues compared to its cash operating costs in an effort to trend toward improved profitability.

調整後的EBITDA是一種非公認會計準則財務計量,其計算方式為持續經營的折舊和攤銷前收入(虧損)、利息、增值、基於股份的薪酬以及認股權證負債公允價值變動的收益或虧損。2022年第一季度調整後的EBITDA虧損為1,239,475美元,而2021年第一季度為547,790美元。調整後的EBITDA是管理層用來監測公司收入與現金運營成本之比的指標,以努力提高盈利能力。

During Q1 2022, the Company used $1,969,588 of cash in the operating activities from continuing operations. The Company generated net cash from investing activities of $113,342 from the sale of Sun Valley, net of purchases of property and equipment and raised net cash from financing activities of $3,573,057 via proceeds from various issuances of units, convertible debentures, exercise of warrants and stock options, which was partially offset by lease payments and repayments of loans and notes payable.

在2022年第一季度,公司在持續經營的經營活動中使用了1,969,588美元的現金。該公司出售太陽谷的投資活動產生的現金淨額為113,342美元,扣除購買物業和設備的淨額,以及通過發行各種單位、可轉換債券、行使認股權證和股票期權的收益籌集的融資活動的現金淨額3,573,057美元,但部分被租賃付款以及償還應付貸款和票據所抵消。

Please refer to the Company's consolidated financial statements, related notes and accompanying Management Discussion and Analysis for a full review of the operations.

請參閱公司的綜合財務報表、相關附註和隨附的管理層討論和分析,以全面審查運營情況。

About Empower

關於授權

Empower is an integrated healthcare company that provides body and mind wellness for patients through its clinics, with digital and telemedicine care, and world-class medical diagnostics laboratories. Supported by an experienced leadership team, Empower is aggressively growing its clinical and digital presence across North America. Our Health & Wellness and Diagnostics & Technology business units are positioned to positively impact the integrated health of our patients, while simultaneously providing long term value for our shareholders.

Empower是一家綜合性醫療保健公司,通過其診所、數位和遠端醫療護理以及世界級醫療診斷實驗室為患者提供身心健康。在經驗豐富的領導團隊的支持下,Empower正在北美地區積極擴大其臨床和數字業務。我們的健康與健康和診斷與技術業務部門將積極影響我們患者的整體健康,同時為我們的股東提供長期價值。

ON BEHALF OF THE BOARD OF DIRECTORS:
Steven McAuley
Chief Executive Officer

我謹代表董事會:
史蒂文·麥考利
首席執行官

CONTACTS:

聯繫人:

Investors

Tamara Mason
Business Development & Communications
1-855-855-9058
t.mason@empowerclinics.com

Steven McAuley
CEO
1-855-855-9058
s.mcauley@empowerclinics.com

投資者

塔瑪拉·梅森
業務發展與溝通
1-855-855-9058
郵箱:t.mason@empower Clinics.com

史蒂文·麥考利
首席執行官
1-855-855-9058
郵箱:s.mcauley@empower Clinics.com

DISCLAIMER FOR FORWARD-LOOKING STATEMENTS

對前瞻性陳述的免責聲明

This news release contains certain "forward-looking statements" or "forward-looking information" (collectively "forward looking statements") within the meaning of applicable Canadian securities laws. All statements, other than statements of historical fact, are forward-looking statements and are based on expectations, estimates and projections as at the date of this news release. Forward-looking statements can frequently be identified by words such as "plans", "continues", "expects", "projects", "intends", "believes", "anticipates", "estimates", "may", "will", "potential", "proposed" and other similar words, or information that certain events or conditions "may" or "will" occur. Such statements are only projections, are based on assumptions known to management at this time, and are subject to risks and uncertainties that may cause actual results, performance or developments to differ materially from those contained in the forward-looking statements, including: that the Company's products may not work as expected; that the Company may not be able to expand COVID-19 testing; that legislative changes may have an adverse effect on the Company's business and product development; that the Company may not be able to obtain adequate financing to pursue its business plan; that the Company will be able to commence and/or complete build-outs and tenants improvements for Canadian clinics or Kai Medical Laboratory expansion during fiscal 2021; that Medisure Canada products will receive Health Canada approvals or that its new products will be sold and distributed to existing or new customers; that general business, economic, competitive, political and social uncertainties; failure to obtain any necessary approvals in connection with the proposed transaction; and other factors beyond the Company's control. No assurance can be given that any of the events anticipated by the forward-looking statements will occur or, if they do occur, what benefits the Company will obtain from them. Readers are cautioned not to place undue reliance on the forward-looking statements in this release, which are qualified in their entirety by these cautionary statements. The Company is under no obligation, and expressly disclaims any intention or obligation, to update or revise any forward-looking statements in this release, whether as a result of new information, future events or otherwise, except as expressly required by applicable laws.

本新聞稿包含適用於加拿大證券法的某些“前瞻性陳述”或“前瞻性資訊”(統稱為“前瞻性陳述”)。除有關歷史事實的陳述外,所有陳述均為前瞻性陳述,均基於截至本新聞稿發佈之日的預期、估計和預測。前瞻性表述常常可以用“計劃”、“繼續”、“預期”、“專案”、“打算”、“相信”、“預期”、“估計”、“可能”、“將”、“潛在”、“建議”和其他類似詞語,或某些事件或條件“可能”或“將”發生的資訊來識別。此類聲明僅為預測,基於管理層目前已知的假設,受風險和不確定性因素的影響,可能會導致實際結果、業績或發展與前瞻性聲明中包含的結果、業績或發展大不相同,這些風險和不確定性包括:公司的產品可能未按預期發揮作用;公司可能無法擴大新冠肺炎檢測;法規變化可能對公司的業務和產品開發產生不利影響;公司可能無法獲得足夠的融資來實施其業務計劃;公司將能夠在2021財年開始和/或完成加拿大診所或KAI醫學實驗室擴建工程的擴建和租戶改造;加拿大醫療保健公司的產品將獲得加拿大衛生部的批准或其新產品將向現有或新客戶銷售和分銷;一般業務、經濟、競爭、政治和社會不確定性;未能獲得與擬議交易相關的任何必要批准;以及公司無法控制的其他因素。不能保證前瞻性陳述中預期的任何事件都會發生,或者如果發生了,公司將從中獲得什麼好處。告誡讀者不要過度依賴本新聞稿中的前瞻性陳述,這些前瞻性陳述完全受這些警告性陳述的限制。除適用法律明確要求外,公司沒有義務更新或修改本新聞稿中的任何前瞻性陳述,除非適用法律明確要求,無論是新資訊、未來事件還是其他原因。

SOURCE: Empower Clinics Inc.

資料來源:Empower Clinics Inc.


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