share_log

Sonoma Pharmaceuticals Reports Third Fiscal Quarter 2024 Financial Results

Sonoma Pharmaceuticals Reports Third Fiscal Quarter 2024 Financial Results

索諾瑪製藥公佈2024年第三財季財務業績
Accesswire ·  02/09 05:10
  • Revenues increased 7% compared to quarter from prior year and 15% from prior quarter
  • Improvement in gross margin for quarter of 19% compared to prior year
  • Improvement in net loss for quarter of $1.0 million compared to prior year
  • 收入與去年同期相比增長了7%,比上一季度增長了15%
  • 與去年同期相比,該季度的毛利率提高了19%
  • 與去年同期相比,本季度淨虧損增加100萬美元

BOULDER, CO / ACCESSWIRE / February 8, 2024 / Sonoma Pharmaceuticals, Inc. (NASDAQ:SNOA),a global healthcare leader developing and producing stabilized hypochlorous acid (HOCl) products for a wide range of applications, including wound care, eye, oral and nasal care, dermatological conditions, podiatry, animal health care and non-toxic disinfectants, today announced financial results for its third fiscal quarter and nine months ended December 31, 2023.

科羅拉多州博爾德/ACCESSWIRE/2024年2月8日/索諾瑪製藥公司(納斯達克股票代碼:SNOA)是全球醫療保健領導者,爲傷口護理、眼部、口腔和鼻腔護理、皮膚病、足病、動物保健和無毒消毒劑等廣泛應用開發和生產穩定的次氯酸(HOCl)產品,今天公佈了截至第三財季和九個月的財務業績 2023 年 12 月 31 日。

"We are pleased to report increased revenues in the quarter ended December 31, 2023, both year over year and compared to the prior quarter," said Amy Trombly, CEO of Sonoma. "We are starting to see the results of our investment in research and development leading to new products as well as our efforts to add new distributors while supporting our existing distributors in expanding their offerings and territories. Our continued efforts to control costs have also positively impacted the bottom line. Along with improving margins, these trends point Sonoma in the right direction as we move into calendar year 2024 and our fourth fiscal quarter."

索諾瑪首席執行官艾米·特隆布利表示:“我們很高興地報告,截至2023年12月31日的季度收入同比和上一季度均有所增加。”“我們開始看到我們在研發方面的投資所取得的成果,以及我們在支持現有分銷商擴大其產品和業務範圍的同時努力增加新的分銷商。我們持續努力控制成本,也對利潤產生了積極影響。隨着利潤率的提高,這些趨勢還爲索諾瑪指出了正確的方向,因爲我們進入2024日曆年和第四財季。”

Business Highlights

業務亮點

Sonoma continued to expand its business by launching new products and building new partnerships while growing its existing distributor relationships:

索諾瑪繼續通過推出新產品和建立新的合作伙伴關係來擴大其業務,同時發展其現有的分銷商關係:

  • On January 23, 2024, Sonoma launched LumacynTM Clarifying Mist, a new direct-to-consumer skincare product, in the United States. Lumacyn is an all-natural daily toner formulated with Microcyn technology to soothe the skin, reduce redness and irritation, and manage blemishes by reducing infection.
  • On January 9, 2024, Sonoma announced an agreement with NovaBay Pharmaceuticals, Inc. for the sale and marketing of Avenova-branded products by Sonoma in the European Union. These products will be based on Sonoma's existing eye product Ocudox, and marketed through Sonoma's established European distribution network.
  • On November 3, 2023, Sonoma launched its intraoperative pulse lavage irrigation treatment in the United States, a new application of its wound care technology developed in response to an unmet need for a non-toxic irrigation solution that can prevent infection and improve healing time.
  • 2024 年 1 月 23 日,索諾瑪推出了 LumacynTM 淨化噴霧,一種新的直接面向消費者的護膚產品,在美國上市。Lumacyn 是一款採用 Microcyn 配製的全天然日用爽膚水 該技術可舒緩皮膚,減少紅腫和刺激,並通過減少感染來管理瑕疵。
  • 2024 年 1 月 9 日,索諾瑪宣佈與 NovaBay Pharmicals, Inc. 就銷售和營銷 Avenova 達成協議-索諾瑪在歐盟的品牌產品。這些產品將基於索諾瑪現有的眼部產品 Ocudox,並通過索諾瑪建立的歐洲分銷網絡進行銷售。
  • 2023 年 11 月 3 日,Sonoma 在美國推出了術中脈衝灌洗療法,這是其傷口護理技術的一項新應用,旨在滿足對無毒灌溉解決方案未得到滿足的需求,該解決方案可以預防感染並縮短癒合時間。

Results for the Quarter Ended December 31, 2023

截至2023年12月31日的季度業績

Revenues for the quarter ended December 31, 2023 of $3.2 million increased 7% compared to the same period last year. U.S. sales increased 14%, driven by increased sales of consumer-focused animal health care products and wound care products. European sales increased by 10%, reflecting increased demand for Sonoma's wound care products. Asia sales were up 2%, though these revenues tend to be choppy when viewed on a quarterly basis due to international customers placing larger but less frequent orders to benefit from quantity discounts and reduced shipping costs. Latin America was down 4%. Rest of World revenues decreased as a result of decreased sales in India as well as timing of orders. These sales also tend to be choppy and management expects sales to recover in the next two fiscal quarters.

截至2023年12月31日的季度收入爲320萬美元,與去年同期相比增長了7%。受以消費者爲中心的動物保健產品和傷口護理產品銷售增長的推動,美國的銷售額增長了14%。歐洲的銷售額增長了10%,這反映了對索諾瑪傷口護理產品的需求增加。亞洲的銷售額增長了2%,儘管按季度來看,這些收入往往波動不定,這是因爲國際客戶下了更大但不太頻繁的訂單,以受益於數量折扣和更低的運費。拉丁美洲下跌了4%。由於印度銷售下降以及下單時機,世界其他地區的收入下降。這些銷售也往往不穩定,管理層預計未來兩個財季的銷售將恢復。

For the quarter ended December 31, 2023, Sonoma reported revenues of approximately $3.2 million and cost of revenues of $1.7 million, resulting in gross profit of $1.5 million, or 47% of revenue, compared to a gross profit of $0.8 million, or 28% of revenue, for the same period last year. Gross margins increased by 19% for the quarter ended December 31, 2023 when compared to the same period last year as a result of overall product mix and higher costs of materials and transportation in the prior year.

在截至2023年12月31日的季度中,索諾瑪公佈的收入約爲320萬美元,收入成本爲170萬美元,毛利爲150萬美元,佔收入的47%,而去年同期的毛利爲80萬美元,佔收入的28%。截至2023年12月31日的季度毛利率與去年同期相比增長了19%,這是由於整體產品組合以及上一年材料和運輸成本的上漲。

Total operating expenses during the quarter ended December 31, 2023 were $2.3 million, down $0.4 million, or 14%, when compared to $2.7 million during the same period in the prior year, as a result of reduction of $900,000 in selling, general and administrative expenses from tightly managing expenses across all operations, and $350,000 of additional expenses for settling a long term contract in the prior year, which management expects to be a one-time event. The decrease was partially offset by an increase in research and development expenses, related to product development and expanded regulatory efforts in the U.S. and Europe to support new product releases.

截至2023年12月31日的季度,總運營支出爲230萬美元,下降40萬美元,降幅14%,與去年同期的270萬美元相比,這是由於嚴格管理所有業務的費用減少了90萬美元的銷售、一般和管理費用,以及去年簽訂長期合同所需的35萬美元額外支出,管理層預計這將是一次性的。與產品開發相關的研發費用增加以及美國和歐洲爲支持新產品發佈而擴大監管力度,部分抵消了這一下降。

Net loss before income taxes for the quarter was $0.9 million, compared to $1.9 million for the same period last year. EBITDAS loss for the quarter ended December 31, 2023 of $0.7 million improved by $0.9 million, compared to an EBITDAS loss of $1.6 million for the same period last year.

本季度所得稅前淨虧損爲90萬美元,而去年同期爲190萬美元。截至2023年12月31日的季度息稅折舊攤銷前利潤虧損70萬美元,增加了90萬美元,而去年同期的息稅折舊攤銷前利潤虧損爲160萬美元。

Results for the Nine Months Ended December 31, 2023

截至2023年12月31日的九個月業績

Revenues of $9.3 million for the nine months ended December 31, 2023 decreased by $1.0 million compared to the same period last year. Prior period revenues included $750,000 from the sale of machinery to a customer, which management expects to be a one-time event. Decreased sales in the United States were primarily due to a decline in sales of consumer-focused animal health care products over the nine-month period, as well as an overall retail market slowdown. The decline in Asia and Rest of World sales is due to international customers tending to place larger but less frequent orders to benefit from quantity discounts and reduced shipping costs. Management expects these trends to correct in the next few quarters.

截至2023年12月31日的九個月中,收入爲930萬美元,與去年同期相比減少了100萬美元。前一時期的收入包括向客戶出售機械的75萬美元,管理層預計這將是一次性活動。美國銷售下降的主要原因是以消費者爲中心的動物保健產品的銷售在九個月內下降,以及整體零售市場放緩。亞洲和世界其他地區銷售額的下降是由於國際客戶傾向於下較大但不太頻繁的訂單,以受益於數量折扣和降低的運費。管理層預計,這些趨勢將在未來幾個季度得到糾正。

For the nine months ended December 31, 2023, Sonoma reported revenues of $9.3 million and cost of revenues of $5.6 million, resulting in gross profit of $3.7 million, or 39% of revenues, compared to a gross profit of $3.6 million, or 35% or revenues, in the same period last year. Gross profit margin in the prior year was assisted by the sale of $750,000 of machinery to a customer, which management expects to be a one-time event.

在截至2023年12月31日的九個月中,索諾瑪公佈的收入爲930萬美元,收入成本爲560萬美元,毛利爲370萬美元,佔收入的39%,而去年同期的毛利爲360萬美元,佔收入的35%。上一年度的毛利率得益於向客戶出售75萬美元的機器,管理層預計這將是一次性活動。

Total operating expenses during the nine months ended December 31, 2023 of $6.9 million decreased by $0.1 million, or 1%, compared to $7.0 million during the same period last year.

截至2023年12月31日的九個月中,總運營支出爲690萬美元,與去年同期的700萬美元相比,減少了10萬美元,下降了1%。

Net loss before income taxes for the nine months ended December 31, 2023 was $3.8 million, compared to $3.8 million for the same period in the prior year. EBITDAS loss for the nine months ended December 31, 2023 of $2.7 million improved by $0.1 million, compared to an EBITDAS loss of $2.8 million for the same period last year.

截至2023年12月31日的九個月中,所得稅前淨虧損爲380萬美元,而去年同期爲380萬美元。截至2023年12月31日的九個月中,息稅折舊攤銷前利潤虧損爲270萬美元,增加了10萬美元,而去年同期的息稅折舊攤銷前利潤虧損爲280萬美元。

About Sonoma Pharmaceuticals, Inc.

關於索諾瑪製藥公司

Sonoma Pharmaceuticals is a global healthcare leader for developing and producing stabilized hypochlorous acid (HOCl) products for a wide range of applications, including wound care, animal health care, eye care, nasal care, oral care, and dermatological conditions. The company's products reduce infections, itch, pain, scarring and harmful inflammatory responses in a safe and effective manner. In-vitro and clinical studies of hypochlorous acid (HOCl) show it to have impressive antipruritic, antimicrobial, antiviral and anti-inflammatory properties. Sonoma's stabilized HOCl immediately relieves itch and pain, kills pathogens and breaks down biofilm, does not sting or irritate skin and oxygenates the cells in the area treated assisting the body in its natural healing process. The company's products are sold either directly or via partners in 55 countries worldwide and the company actively seeks new distribution partners. The company's principal office is in Boulder, Colorado, with manufacturing operations in Guadalajara, Mexico. European marketing and sales are headquartered in Roermond, Netherlands. More information can be found at . For partnership opportunities, please contact businessdevelopment@sonomapharma.com.

Sonoma Pharmaceuticals 是全球醫療保健領導者,致力於開發和生產穩定的次氯酸 (HOCl) 產品,其應用範圍廣泛,包括傷口護理、動物保健、眼部護理、鼻腔護理、口腔護理和皮膚病。該公司的產品以安全有效的方式減少感染、瘙癢、疼痛、疤痕和有害的炎症反應。次氯酸(HOCl)的體外和臨床研究表明,它具有令人印象深刻的止癢、抗菌、抗病毒和抗炎特性。索諾瑪穩定的HOCl可立即緩解瘙癢和疼痛,殺死病原體並分解生物膜,不會刺痛或刺激皮膚,並且爲治療區域的細胞充氧,幫助人體進行自然癒合過程。該公司的產品直接或通過合作伙伴在全球55個國家銷售,該公司正在積極尋找新的分銷合作伙伴。該公司的總部位於科羅拉多州的博爾德,製造業務位於墨西哥瓜達拉哈拉。歐洲的營銷和銷售總部位於荷蘭魯爾蒙德。更多信息可以在以下網址找到。如需合作機會,請聯繫 businessdevelopment@sonomapharma.com。

Forward-Looking Statements

前瞻性陳述

Except for historical information herein, matters set forth in this press release are forward looking within the meaning of the "safe harbor" provisions of the Private Securities Litigation Reform Act of 1995, including statements about the commercial and technology progress and future financial performance of Sonoma Pharmaceuticals, Inc. and its subsidiaries (the "company"). These forward-looking statements are identified by the use of words such as "expect," "continue," "believe" and "expand," among others. Forward-looking statements in this press release are subject to certain risks and uncertainties inherent in the company's business that could cause actual results to vary, including such risks that regulatory clinical and guideline developments may change, scientific data may not be sufficient to meet regulatory standards or receipt of required regulatory clearances or approvals, clinical results may not be replicated in actual patient settings, protection offered by the company's patents and patent applications may be challenged, invalidated or circumvented by its competitors, the available market for the company's products will not be as large as expected, the company's products will not be able to penetrate one or more targeted markets, revenues will not be sufficient to meet the company's cash needs, fund further development, as well as uncertainties relative to the recent pandemic and economic development, varying product formulations and a multitude of diverse regulatory and marketing requirements in different countries and municipalities, and other risks detailed from time to time in the company's filings with the Securities and Exchange Commission. The company disclaims any obligation to update these forward-looking statements, except as required by law. Sonoma Pharmaceuticals, Microcyn, LumacynTM and Ocudox are trademarks or registered trademarks of Sonoma Pharmaceuticals, Inc. All other trademarks and service marks are the property of their respective owners.

除此處的歷史信息外,本新聞稿中列出的事項是1995年《私人證券訴訟改革法》的 “安全港” 條款所指的前瞻性內容,包括有關索諾瑪製藥公司及其子公司(“公司”)商業和技術進步以及未來財務業績的聲明。這些前瞻性陳述是通過使用 “期望”、“繼續”、“相信” 和 “擴大” 等詞語來識別的。本新聞稿中的前瞻性陳述受公司業務固有的某些風險和不確定性的影響,這些風險和不確定性可能導致實際業績發生變化,包括監管臨床和指南的制定可能發生變化、科學數據可能不足以滿足監管標準或無法獲得所需的監管許可或批准、臨床結果可能無法在實際患者環境中複製、公司專利和專利申請提供的保護可能會受到質疑、失效或規避的風險其競爭對手,公司產品的可用市場將不會像預期的那麼大,公司的產品將無法打入一個或多個目標市場,收入將不足以滿足公司的現金需求,爲進一步發展提供資金,以及與最近的疫情和經濟發展相關的不確定性,不同的產品配方以及不同國家和城市的多種不同的監管和營銷要求以及不時詳述的其他風險公司向該公司提交的文件證券交易委員會。除非法律要求,否則公司不承擔任何更新這些前瞻性陳述的義務。索諾瑪製藥,Microcyn,LumacynTM 還有 Ocudox 是 Sonoma Pharmicals, Inc. 的商標或註冊商標。所有其他商標和服務標誌均爲其各自所有者的財產。

Media and Investor Contact:

媒體和投資者聯繫人:

Sonoma Pharmaceuticals, Inc.
ir@sonomapharma.com

索諾瑪製藥有限公司
ir@sonomapharma.com

SONOMA PHARMACEUTICALS, INC. AND SUBSIDIARIES
Condensed Consolidated Balance Sheets
(In thousands, except share amounts)

索諾瑪製藥有限公司和子公司
簡明合併資產負債表
(以千計,股票金額除外)

December 31,
2023
March 31,
2023
(Unaudited)
ASSETS
Current assets:
Cash and cash equivalents
$ 2,406 $ 3,820
Accounts receivable, net
2,876 2,572
Inventories, net
2,955 2,858
Prepaid expenses and other current assets
4,009 4,308
Current portion of deferred consideration, net of discount
256 240
Total current assets
12,502 13,798
Property and equipment, net
397 488
Operating lease, right of use assets
341 418
Deferred tax asset
922 949
Deferred consideration, net of discount, less current portion
378 505
Other assets
78 73
Total assets
$ 14,618 $ 16,231
LIABILITIES AND STOCKHOLDERS' EQUITY
Current liabilities:
Accounts payable
$ 864 $ 841
Accrued expenses and other current liabilities
1,847 2,029
Deferred revenue
75 100
Deferred revenue Invekra
63 60
Short-term debt
44 431
Operating lease liabilities
181 256
Total current liabilities
3,074 3,717
Long-term deferred revenue Invekra
101 140
Withholding tax payable
4,591 4,235
Operating lease liabilities, less current portion
160 162
Total liabilities
7,926 8,254
Commitments and Contingencies
Stockholders' Equity
Convertible preferred stock, $0.0001 par value; 714,286 shares authorized at December 31, 2023 and March 31, 2023, respectively, no shares issued and outstanding at December 31, 2023 and March 31, 2023, respectively
- -
Common stock, $0.0001 par value; 24,000,000 shares authorized at December 31, 2023 and March 31, 2023, respectively, 13,684,333 and 4,933,550 shares issued and outstanding at December 31, 2023 and March 31, 2023, respectively
2 5
Additional paid-in capital
202,795 200,904
Accumulated deficit
(193,282) (189,514)
Accumulated other comprehensive loss
(2,823) (3,418)
Total stockholders' equity
6,692 7,977
Total liabilities and stockholders' equity
$ 14,618 $ 16,231
十二月三十一日
2023
3月31日
2023
(未經審計)
資產
流動資產:
現金和現金等價物
$ 2,406 $ 3,820
應收賬款,淨額
2876 2,572
庫存,淨額
2,955 2,858
預付費用和其他流動資產
4,009 4,308
扣除折扣後的遞延對價的當期部分
256 240
流動資產總額
12,502 13,798
財產和設備,淨額
397 488
經營租賃、使用權資產
341 418
遞延所得稅資產
922 949
遞延對價,扣除折扣,減去流動部分
378 505
其他資產
78 73
總資產
$ 14,618 $ 16,231
負債和股東權益
流動負債:
應付賬款
$ 864 $ 841
應計費用和其他流動負債
1,847 2,029
遞延收入
75 100
遞延收入 Invekra
63 60
短期債務
44 431
經營租賃負債
181 256
流動負債總額
3,074 3,717
長期遞延收入 Invekra
101 140
應付預扣稅
4,591 4,235
經營租賃負債,減去流動部分
160 162
負債總額
7,926 8,254
承付款和或有開支
股東權益
可轉換優先股,面值0.0001美元;截至2023年12月31日和2023年3月31日分別授權714,286股股票,截至2023年12月31日和2023年3月31日分別未發行和流通股票
- -
普通股,面值0.0001美元;截至2023年12月31日和2023年3月31日分別授權24,000,000股,截至2023年12月31日和2023年3月31日已發行和流通的13,684,333股和4,933,550股股票
2 5
額外的實收資本
202,795 200,904
累計赤字
(193,282) (189,514)
累計其他綜合虧損
(2,823) (3,418)
股東權益總額
6,692 7,977
負債和股東權益總額
$ 14,618 $ 16,231

SONOMA PHARMACEUTICALS, INC. AND SUBSIDIARIES
Condensed Consolidated Statements of Comprehensive Loss
(In thousands, except per share amounts)
(Unaudited)

索諾瑪製藥有限公司和子公司
綜合虧損簡明合併報表
(以千計,每股金額除外)
(未經審計)

Three Months Ended
December 31,
Nine Months Ended
December 31,
2023 2022 2023 2022
Revenues
$ 3,138 $ 2,944 $ 9,296 $ 10,258
Cost of revenues
1,678 2,113 5,642 6,645
Gross profit
1,460 831 3,654 3,613
Operating expenses
Research and development
601 - 1,462 6
Selling, general and administrative
1,703 2,665 5,484 7,030
Total operating expenses
2,304 2,665 6,946 7,036
Loss from operations
(844) (1,834) (3,292) (3,423)
Other expense, net
(79) (71) (380) (322)
Loss before income taxes
(923) (1,905) (3,672) (3,745)
Income tax benefit (expense)
57 (34) (96) (98)
Net loss
$ (866) $ (1,939) $ (3,768) $ (3,843)
Net loss per share: basic and diluted
$ (0.08) $ (0.62) $ (0.54) $ (1.24)
Weighted-average number of shares: basic and diluted
10,909 3,107 7,011 3,104
Other comprehensive loss
Net loss
$ (866) $ (1,939) $ (3,768) $ (3,843)
Foreign currency translation adjustments
297 235 595 136
Comprehensive loss
$ (569) $ (1,704) $ (3,173) $ (3,707)
三個月已結束
十二月三十一日
九個月已結束
十二月三十一日
2023 2022 2023 2022
收入
$ 3,138 $ 2,944 $ 9296 $ 10,258
收入成本
1,678 2,113 5,642 6,645
毛利
1,460 831 3,654 3,613
運營費用
研究和開發
601 - 1,462 6
銷售、一般和管理
1,703 2,665 5,484 7,030
運營費用總額
2,304 2,665 6,946 7,036
運營損失
(844) (1,834) (3,292) (3,423)
其他費用,淨額
(79) (71) (380) (322)
所得稅前虧損
(923) (1,905) (3,672) (3,745)
所得稅優惠(費用)
57 (34) (96) (98)
淨虧損
$ (866) $ (1,939) $ (3,768) $ (3,843)
每股淨虧損:基本虧損和攤薄後
$ (0.08) $ (0.62) $ (0.54) $ (1.24)
加權平均股票數量:基本股數和攤薄後股數
10,909 3,107 7,011 3,104
其他綜合損失
淨虧損
$ (866) $ (1,939) $ (3,768) $ (3,843)
外幣折算調整
297 235 595 136
綜合損失
$ (569) $ (1,704) $ (3,173) $ (3,707)

SONOMA PHARMACEUTICALS, INC. AND SUBSIDIARIES
RECONCILIATION OF GAAP MEASURES TO NON-GAAP MEASURES
(In thousands)
(Unaudited)

索諾瑪製藥有限公司和子公司
公認會計准則衡量標準與非公認會計准則衡量標準的對賬
(以千計)
(未經審計)

Three Months Ended
December 31,
Nine Months Ended
December 31,
2023 2022 2023 2022
(1) Loss from operations minus non-cash expenses EBITDAS loss:
GAAP operating loss as reported
$ (844) $ (1,834) $ (3,292) $ (3,423)
Non-cash adjustments:
Stock-based compensation
140 242 447 569
Depreciation and amortization
45 31 135 91
Non-GAAP income (loss) from operations minus non-cash expenses EBITDAS income (loss)
$ (659) $ (1,561) $ (2,710) $ (2,763)
(2) Net loss minus non-cash and one-time expenses:
GAAP net income (loss) as reported
$ (866) $ (1,939) $ (3,768) $ (3,843)
Non-cash adjustments:
Stock-based compensation
140 242 447 569
Non-cash foreign exchange transaction losses and other (income) and expense
92 71 421 328
Income taxes
(57) 34 96 98
Depreciation and amortization
45 10 135 91
Non-GAAP net income (loss) minus non-cash expenses
$ (646) $ (1,582) $ (2,669) $ (2,757)
(3) Operating expenses minus non-cash expenses
GAAP operating expenses as reported
$ 2,304 $ 2,665 $ 6,946 $ 7,036
Non-cash adjustments:
Stock-based compensation
(140) (242) (447) (569)
Depreciation and amortization
(45) (31) (135) (91)
Non-GAAP operating expenses minus non-cash expenses
$ 2,119 $ 2,392 $ 6,364 $ 6,376
三個月已結束
十二月三十一日
九個月已結束
十二月三十一日
2023 2022 2023 2022
(1) 運營虧損減去非現金支出息稅折舊攤銷前利潤虧損:
報告的GAAP營業虧損
$ (844) $ (1,834) $ (3,292) $ (3,423)
非現金調整:
基於股票的薪酬
140 242 447 569
折舊和攤銷
45 31 135 91
非公認會計准則運營收入(虧損)減去非現金支出息稅折舊攤銷前利潤收入(虧損)
$ (659) $ (1,561) $ (2,710) $ (2,763)
(2) 淨虧損減去非現金和一次性支出:
報告的GAAP淨收益(虧損)
$ (866) $ (1,939) $ (3,768) $ (3,843)
非現金調整:
基於股票的薪酬
140 242 447 569
非現金外匯交易損失和其他(收入)和支出
92 71 421 328
所得稅
(57) 34 96 98
折舊和攤銷
45 10 135 91
非公認會計准則淨收益(虧損)減去非現金支出
$ (646) $ (1,582) $ (2,669) $ (2,757)
(3) 運營費用減去非現金支出
報告的 GAAP 運營支出
$ 2,304 $ 2,665 $ 6,946 $ 7,036
非現金調整:
基於股票的薪酬
(140) (242) (447) (569)
折舊和攤銷
(45) (31) (135) (91)
非公認會計准則運營費用減去非現金支出
$ 2,119 $ 2,392 $ 6,364 $ 6,376

(1) Income (loss) from continuing operations minus non-cash expenses (EBITDAS) is a non-GAAP financial measure. The company defines operating income (loss) minus non-cash expenses as GAAP reported operating income (loss) minus operating depreciation and amortization, and operating stock-based compensation. The company uses this measure for the purpose of modifying the operating loss to reflect direct cash related transactions during the measurement period. Non-GAAP measures should not be considered a substitute for financial measures presented in accordance with GAAP. Non-GAAP measures are not always consistent across, or comparable with, non-GAAP measures disclosed by other companies.

(1) 持續經營收入(虧損)減去非現金支出(息稅折舊攤銷前利潤)是一項非公認會計准則財務指標。該公司將營業收入(虧損)減去非現金支出定義爲GAAP報告的營業收入(虧損)減去營業折舊和攤銷以及基於股票的營業薪酬。該公司使用該衡量標準的目的是修改營業虧損,以反映計量期內的直接現金相關交易。不應將非公認會計准則指標視爲根據公認會計原則提出的財務指標的替代品。非公認會計准則指標與其他公司披露的非公認會計准則指標並不總是一致或可比的。

(2) Net income (loss) minus non-cash and one time expenses is a non-GAAP financial measure. The company defines net income (loss) minus non-cash expenses as GAAP reported net income (loss) minus depreciation and amortization, stock-based compensation, forgiveness of PPP loan and non-cash foreign exchange transaction losses. The company uses this measure for the purpose of modifying the net loss to reflect only those expenses to reflect direct cash transactions during the measurement period. Non-GAAP measures should not be considered a substitute for financial measures presented in accordance with GAAP. Non-GAAP measures are not always consistent across, or comparable with, non-GAAP measures disclosed by other companies.

(2) 淨收益(虧損)減去非現金和一次性支出是非公認會計准則財務指標。該公司將淨收益(虧損)減去非現金支出定義爲GAAP報告的淨收益(虧損)減去折舊和攤銷、股票補償、PPP貸款豁免和非現金外匯交易損失。該公司使用該衡量標準的目的是修改淨虧損,僅反映計量期內的直接現金交易的支出。不應將非公認會計准則指標視爲根據公認會計原則提出的財務指標的替代品。非公認會計准則指標與其他公司披露的非公認會計准則指標並不總是一致或可比的。

(3) Operating expenses minus non-cash expenses is a non-GAAP financial measure. The company defines operating expenses minus non-cash expenses as GAAP reported operating expenses minus operating depreciation and amortization, and operating stock-based compensation. The company uses this measure for the purpose of identifying total operating expenses involving cash transactions during the measurement period. Non-GAAP measures should not be considered a substitute for financial measures presented in accordance with GAAP. Non-GAAP measures are not always consistent across, or comparable with, non-GAAP measures disclosed by other companies.

(3) 運營費用減去非現金支出是一項非公認會計准則財務指標。該公司將運營費用減去非現金支出定義爲GAAP報告的運營費用減去營業折舊和攤銷以及基於股票的運營薪酬。該公司使用該衡量標準來確定計量期內涉及現金交易的總運營支出。不應將非公認會計准則指標視爲根據公認會計原則提出的財務指標的替代品。非公認會計准則指標與其他公司披露的非公認會計准則指標並不總是一致或可比的。

SONOMA PHARMACEUTICALS, INC. AND SUBSIDIARIES
PRODUCT RELATED REVENUE SCHEDULES
(In thousands)
(Unaudited)

索諾瑪製藥有限公司和子公司
與產品相關的收入明細表
(以千計)
(未經審計)

The following table presents the company's disaggregated product revenues by geographic region:

下表顯示了公司按地理區域劃分的產品收入:

Three Months Ended
December 31,


(In thousands)
2023 2022 $ Change % Change
United States
$ 868 $ 761 $ 107 14%
Europe
1,217 1,104 113 10%
Asia
522 514 8 2%
Latin America
368 384 (16) (4%)
Rest of the World
163 181 (18) (10%)
Total
$ 3,138 $ 2,944 $ 194 7%
三個月已結束
十二月三十一日


(以千計)
2023 2022 $ Change % 變化
美國
$ 868 $ 761 $ 107 14%
歐洲
1,217 1,104 113 10%
亞洲
522 514 8 2%
拉丁美洲
368 384 (16) (4%)
世界其他地區
163 181 (18) (10%)
總計
$ 3,138 $ 2,944 $ 194 7%
Nine Months Ended
December 31,


(In thousands)
2023 2022 $ Change % Change
United States
$ 2,214 $ 2,603 $ (389) (15%)
Europe
3,488 3,117 371 12%
Asia
1,730 1,952 (222) (11%)
Latin America
1,165 1,827 (662) (36%)
Rest of the World
699 759 (60) (8%)
Total
$ 9,296 $ 10,258 $ (962) (9%)
九個月已結束
十二月三十一日


(以千計)
2023 2022 $ Change % 變化
美國
$ 2,214 $ 2,603 $ (389) (15%)
歐洲
3,488 3,117 371 12%
亞洲
1,730 1,952 (222) (11%)
拉丁美洲
1,165 1,827 (662) (36%)
世界其他地區
699 759 (60) (8%)
總計
$ 9296 $ 10,258 $ (962) (9%)

SOURCE: Sonoma Pharmaceuticals, Inc.

來源:索諾瑪製藥公司


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。
    搶先評論