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Aytu BioPharma Reports Record ADHD Revenue and Operating Income During Fiscal 2024 Second Quarter

Aytu BioPharma Reports Record ADHD Revenue and Operating Income During Fiscal 2024 Second Quarter

Aytu BioPharma在2024財年第二季度報告了創紀錄的注意力缺陷多動障礙收入和營業收入
Accesswire ·  02/15 05:05
  • Q2 2024 operating income of $2.4 million
  • Q2 2024 net loss of $0.2 million and adjusted EBITDA1 of $5.1 million
  • Q2 2024 Rx Segment net revenue of $18.7 million, net income of $0.7 million, and adjusted EBITDA of $5.5 million
  • Q2 2024 ADHD Portfolio net revenue up 49% compared to Q2 2023
  • $19.5 million cash balance at December 31, 2023
  • Company to host conference call and webcast today, February 14, 2024 at 4:30 p.m. Eastern time
  • 2024 年第二季度營業收入爲 240 萬美元
  • 2024 年第二季度淨虧損爲 20 萬美元,調整後息稅折舊攤銷前利潤1 510 萬美元
  • 2024年第二季度Rx分部淨收入爲1,870萬美元,淨收入爲70萬美元,調整後的息稅折舊攤銷前利潤爲550萬美元
  • 2024 年第二季度注意力缺陷多動症投資組合淨收入與 2023 年第二季度相比增長了 49%
  • 截至 2023 年 12 月 31 日的現金餘額爲 1,950 萬美元
  • 公司將於今天,即美國東部時間2024年2月14日下午 4:30 舉辦電話會議和網絡直播

DENVER, CO / ACCESSWIRE / February 14, 2024 / Aytu BioPharma, Inc. (the "Company" or "Aytu") (NASDAQ:AYTU), a pharmaceutical company focused on commercializing novel therapeutics, today announced financial and operational results for the fiscal 2024 second quarter.

科羅拉多州丹佛/ACCESSWIRE/2024年2月14日/專注於新療法商業化的製藥公司Aytu BioPharma, Inc.(“公司” 或 “Aytu”)(納斯達克股票代碼:AYTU)今天公佈了2024財年第二季度的財務和經營業績。

Q2 2024 Highlights

2024 年第二季度亮點

  • Consolidated net revenue was $22.9 million, compared to $26.3 million in the prior year period. The decrease is primarily due to the planned wind down of the Company's Consumer Health Segment.
  • ADHD Portfolio (Adzenys XR-ODT and Cotempla XR-ODT) net revenue increased 49% to $16.6 million, compared to $11.1 million in the prior year period.
  • Net revenue from the Company's Rx Segment was $18.7 million compared to $18.0 million in the prior year period.
  • Consumer Health Segment net revenue during Q2 2024 was $4.2 million, a decrease of 49% versus the prior year period, and in line with the Company's strategy to wind down the Consumer Health Segment. As previously announced, the Company is winding down its Consumer Health Segment with the objective of discontinuing this segment in order to drive long-term stockholder value.
  • Rx Segment gross margin improved to 78% in Q2 2024 compared to 72% in the prior year period.
  • Consolidated operating income during Q2 2024 was $2.4 million compared to an operating loss of $6.9 million in the prior year period.
  • Net loss during Q2 2024 was $0.2 million, or $0.04 per share, compared to a net loss of $6.7 million, or $2.15 per share, in Q2 2023.
  • Consolidated adjusted EBITDA was $5.1 million in Q2 2024 compared to $0.7 million in the prior year period, a 599% increase.
  • Cash and cash equivalents were $19.5 million at December 31, 2023 compared to $20.0 million at September 30, 2023.
  • 合併淨收入爲2,290萬美元,而去年同期爲2630萬美元。下降的主要原因是該公司的消費者健康板塊計劃關閉。
  • 多動症投資組合(Adzenys XR-ODT) 還有 Cotempla XR-ODT)淨收入增長了49%,達到1,660萬美元,而去年同期爲1,110萬美元。
  • 該公司Rx板塊的淨收入爲1,870萬美元,而去年同期爲1,800萬美元。
  • 2024年第二季度消費者健康板塊的淨收入爲420萬美元,與上年同期相比下降了49%,這符合公司結束消費者健康板塊的戰略。正如先前宣佈的那樣,該公司正在結束其消費者健康板塊,目標是終止該板塊,以提高長期股東價值。
  • 2024年第二季度,Rx分部的毛利率提高至78%,而去年同期爲72%。
  • 2024年第二季度的合併營業收入爲240萬美元,而去年同期的營業虧損爲690萬美元。
  • 2024年第二季度的淨虧損爲20萬美元,合每股虧損0.04美元,而2023年第二季度的淨虧損爲670萬美元,合每股虧損2.15美元。
  • 2024年第二季度的合併調整後息稅折舊攤銷前利潤爲510萬美元,而去年同期爲70萬美元,增長了599%。
  • 截至2023年12月31日,現金及現金等價物爲1,950萬美元,而截至2023年9月30日爲2,000萬美元。

1Aytu uses the term adjusted EBITDA, which is a term not defined under United States generally accepted accounting principles ("U.S. GAAP"). The Company uses this term because it is a widely accepted financial indicator utilized to analyze and compare companies on the basis of operating performance. The Company believes that presenting adjusted EBITDA by certain categories allows investors to evaluate the various performance of these categories. The Company's method of computation of adjusted EBITDA may or may not be comparable to other similarly titled measures used by other companies. We believe that net income (loss) is the performance measure calculated and presented in accordance with U.S. GAAP that is most directly comparable to adjusted EBITDA. See below for a reconciliation of net income (loss) to adjusted EBITDA.

1Aytu使用調整後息稅折舊攤銷前利潤一詞,該術語未在美國公認會計原則(“美國公認會計原則”)中定義。公司之所以使用這個術語,是因爲它是一種被廣泛接受的財務指標,用於根據經營業績分析和比較公司。該公司認爲,按某些類別列出調整後的息稅折舊攤銷前利潤可以讓投資者評估這些類別的各種表現。公司計算調整後息稅折舊攤銷前利潤的方法可能與其他公司使用的其他類似標題的指標相似,也可能不相似。我們認爲,淨收益(虧損)是根據美國公認會計原則計算和列報的績效指標,與調整後的息稅折舊攤銷前利潤最直接相似。淨收益(虧損)與調整後息稅折舊攤銷前利潤的對賬情況見下文。

Management Discussion

管理層討論

"I am extremely pleased with the results of the second quarter of fiscal 2024, which culminated in our first quarter of positive operating income in company history," commented Josh Disbrow, Chairman and Chief Executive Officer of Aytu.

Aytu董事長兼首席執行官喬什·迪斯布魯評論說:“我對2024財年第二季度的業績感到非常滿意,這使我們實現了公司歷史上第一季度的正營業收入。”

"The strategic initiatives we have undertaken to re-position Aytu as a growing, and now operating profitable, specialty pharmaceutical company focused on commercializing novel prescription therapeutics are clearly working. Our ADHD Portfolio experienced a 49% year over year increase in net revenue during the second quarter to an Aytu record of $16.6 million driven by strong sales force execution and an enhanced commercial approach, along with continuing to leverage our innovative Aytu RxConnect platform, which we believe is a best-in-class patient support program. This growth in the ADHD Portfolio net revenue has been matched by an improvement in our Rx Segment gross margin, increasing from 72% a year ago to 78% this quarter, as well as efficiencies within operating expenses. Importantly, we believe we will see further operational improvements throughout calendar year 2024.

“我們爲將Aytu重新定位爲一家專注於將新型處方療法商業化的成長型且現已盈利的專業製藥公司而採取的戰略舉措顯然正在奏效。我們的ADHD投資組合在第二季度淨收入同比增長49%,達到Aytu創紀錄的1,660萬美元,這得益於強勁的銷售隊伍執行和增強的商業方法,以及繼續利用我們創新的Aytu RxConnect平台,我們認爲這是一流的患者支持計劃。ADHD Portfolio淨收入的增長與我們的Rx板塊毛利率的提高相匹配,從去年同期的72%增長到本季度的78%,運營費用效率也有所提高。重要的是,我們相信在整個2024日曆年中,我們將看到進一步的運營改善。

"The strength within ADHD, which represents approximately 88% of our Rx Segment revenues, was partially offset by the continuing effect of payor changes within our Pediatric Portfolio, which have impacted both net revenues and scripts. We made progress during the quarter expanding our customer base, having recently implemented multiple commercial initiatives, and we have seen some unslacking of the distribution channel, which has resulted in Poly-Vi-Flor units up significantly for the month of January 2024 versus December 2023. There is still work to be done, but we believe the trend in the Pediatrics Portfolio is heading back in a positive direction.

“ADHD的強勁表現約佔我們Rx細分市場收入的88%,但部分被兒科投資組合中付款人變動的持續影響所抵消,這些變化對淨收入和劇本都產生了影響。我們在本季度取得了進展,擴大了客戶群,最近實施了多項商業舉措,而且我們看到分銷渠道有所放鬆,這導致2024年1月的Poly-Vi-Flor銷量與2023年12月相比大幅增長。仍有工作要做,但我們認爲兒科產品組合的趨勢正朝着積極的方向發展。

"As we have stated for the past few quarters, it has been our objective to transition Aytu from a multi-pronged approach, which included not only our Rx Segment, but also our Consumer Health Segment and pipeline development programs-both of which have been a drain on cash flows-to a specialty pharmaceutical company that can grow and achieve profitability. While we have been Rx Segment adjusted EBITDA positive for six of the last seven quarters, the ability to transition this business to operating income profitability is a tremendous accomplishment that was made possible by the hard-working individuals at Aytu. We remain focused on maximizing the potential of our Rx brands going forward with a focus on continuing to drive improvement in long-term stockholder value."

“正如我們在過去幾個季度中所說的那樣,我們的目標是將Aytu從多管齊下的方法過渡到一家能夠增長和實現盈利的專業製藥公司,這不僅包括我們的Rx細分市場,還包括我們的消費者健康板塊和管道開發計劃,這兩者都消耗了現金流。儘管在過去七個季度中,有六個季度我們的Rx細分市場調整後的息稅折舊攤銷前利潤爲正數,但將該業務轉變爲營業收入盈利能力是一項巨大的成就,這是Aytu辛勤工作的員工所取得的。我們仍然專注於最大限度地發揮 Rx 品牌未來的潛力,重點是繼續推動長期股東價值的提高。”

Consumer Health Segment Update

消費者健康板塊最新動態

In June 2023, the Company announced that it had instituted a strategic mandate focusing its business solely on its Rx Segment, in an effort to drive long-term stockholder value. The Rx Segment has generated positive adjusted EBITDA for the 2023 fiscal year and for six of the last reported seven quarters. This concentration on the Rx Segment will result in discontinuing the Consumer Health Segment altogether. The Company expects to sell through the remaining Consumer Health Segment inventory resulting in approximately neutral adjusted EBITDA for the Consumer Health Segment in fiscal 2024.

2023年6月,該公司宣佈已制定一項戰略任務,將業務僅集中在Rx板塊上,以提高長期股東價值。Rx板塊在2023財年以及最近報告的七個季度中有六個季度的調整後息稅折舊攤銷前利潤爲正。這種對Rx細分市場的專注將導致消費者健康板塊完全停產。該公司預計將出售消費者健康板塊的剩餘庫存,從而在2024財年消費者健康板塊調整後的息稅折舊攤銷前利潤大致保持中性。

This goal of emphasizing profitability was initially started with the indefinite suspension of all pipeline clinical development programs announced in October 2022 to minimize research and development expense until such time that the Company can fund those efforts with internally generated cash flow or through partnerships. During fiscal 2023, the Consumer Health Segment contributed negative adjusted EBITDA of $3.6 million and pipeline programs contributed a negative adjusted EBITDA of $2.6 million, while the Company's Rx Segment contributed positive adjusted EBITDA of $9.4 million.

這一強調盈利能力的目標最初始於2022年10月宣佈無限期暫停所有管道臨床開發計劃,以最大限度地減少研發費用,直到公司能夠通過內部產生的現金流或通過合作伙伴關係爲這些工作提供資金。在2023財年,消費者健康板塊的調整後息稅折舊攤銷前利潤爲負360萬美元,管道項目的調整後息稅折舊攤銷前利潤爲負260萬美元,而該公司的Rx板塊的調整後息稅折舊攤銷前利潤爲940萬澳元。

Segment Reporting

分部報告

Three Months Ended
December 31,
2023 2022
(in thousands)
Consolidated net revenue:
Rx Segment
$ 18,748 $ 18,029
Consumer Health Segment
4,186 8,250
Total consolidated net revenue
$ 22,934 $ 26,279
Rx Segment net revenue:
ADHD Portfolio
$ 16,572 $ 11,120
Pediatric Portfolio
2,145 6,328
Other*
31 581
Total Rx Segment net revenue
$ 18,748 $ 18,029
三個月已結束
十二月三十一日
2023 2022
(以千計)
合併淨收入:
Rx 分段
$ 18,748 $ 18,029
消費者健康板塊
4,186 8,250
合併淨收入總額
$ 22,934 $ 26,279
Rx 分部淨收入:
多動症投資組合
$ 16,572 $ 11,120
兒科投資組合
2,145 6,328
其他*
31 581
Rx 分部總淨收入
$ 18,748 $ 18,029

_________________________________

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*Other includes discontinued or deprioritized products.

*其他包括已停產或取消優先次序的產品。

Q2 2024 Financial Results

2024 年第二季度財務業績

Net revenue for the second quarter of fiscal 2024 was $22.9 million, compared to $26.3 million for the prior year period.

2024財年第二季度的淨收入爲2,290萬美元,而去年同期爲2630萬美元。

Net revenue from the Rx Segment in the second quarter of fiscal 2024 was $18.7 million compared to $18.0 million in the prior year period. The ADHD Portfolio (Adzenys XR-ODT and Cotempla XR-ODT) experienced a 49% increase in net revenue to $16.6 million in the second quarter of fiscal 2024, compared to the prior year period. The Pediatric Portfolio (Poly-Vi-Flor, Tri-Vi-Flor, and Karbinal ER) net revenue decreased to $2.1 million due to customer ordering timing as a result of payor changes that impacted scripts.

2024財年第二季度Rx板塊的淨收入爲1,870萬美元,而去年同期爲1,800萬美元。與去年同期相比,ADHD投資組合(Adzenys XR-ODT和Cotempla XR-ODT)在2024財年第二季度的淨收入增長了49%,達到1,660萬美元。兒科投資組合(Poly-Vi-Flor、Tri-Vi-Flor和Karbinal ER)的淨收入降至210萬美元,這是由於付款人變更影響了腳本,客戶訂購時機。

Net revenue from the Consumer Health Segment was $4.2 million in the second quarter of fiscal 2024, a decrease of 49% over the same quarter last year. As previously announced, the Company is winding down its Consumer Health Segment with the objective of discontinuing this segment to drive long-term stockholder value.

2024財年第二季度消費者健康板塊的淨收入爲420萬美元,比去年同期下降49%。正如先前宣佈的那樣,該公司正在結束其消費者健康板塊,目標是終止該板塊,以提高長期股東價值。

Consolidated gross profit was $16.2 million, or 71% of net revenue, in the second quarter of fiscal 2024, compared to $17.3 million, or 66% of net revenue, in the same quarter last year. Gross profit margin for the Rx Segment was 78% in the second quarter of fiscal 2024, compared with 72% in the prior year period.

2024財年第二季度的合併毛利爲1,620萬美元,佔淨收入的71%,而去年同期爲1,730萬美元,佔淨收入的66%。2024財年第二季度,Rx板塊的毛利率爲78%,而去年同期爲72%。

Operating expenses, excluding amortization of intangible assets, impairment expense, and loss from contingent consideration, were $12.5 million in the second quarter of fiscal 2024 compared to $20.3 million in the prior year period.

2024財年第二季度的運營支出,不包括無形資產攤銷、減值支出和或有對價虧損,爲1,250萬美元,而去年同期爲2,030萬美元。

Operating income during the second quarter of fiscal 2024 was $2.4 million compared to an operating loss of $6.9 million in the prior year period.

2024財年第二季度的營業收入爲240萬美元,而去年同期的營業虧損爲690萬美元。

Net loss during the second quarter of fiscal 2024 was $0.2 million, or $0.04 per share, compared to a $6.7 million net loss, or $2.15 per share, in the prior year period. The prior year period was negatively impacted by impairment expense of $2.6 million.

2024財年第二季度的淨虧損爲20萬美元,合每股虧損0.04美元,而去年同期的淨虧損爲670萬美元,合每股虧損2.15美元。上一年度受到260萬美元減值支出的負面影響。

Adjusted EBITDA was $5.1 million in the second quarter of fiscal 2024, compared to $0.7 million in the prior year period, a $4.4 million improvement. Adjusted EBITDA for the Rx Segment was $5.5 million in the second quarter of fiscal 2024, compared to $3.1 million in the prior year period, a $2.4 million improvement.

2024財年第二季度調整後的息稅折舊攤銷前利潤爲510萬美元,而去年同期爲70萬美元,增長了440萬美元。2024財年第二季度,Rx板塊調整後的息稅折舊攤銷前利潤爲550萬美元,而去年同期爲310萬美元,增長了240萬美元。

Cash and cash equivalents at December 31, 2023, were $19.5 million compared to $20.0 million at September 30, 2023.

截至2023年12月31日,現金及現金等價物爲1,950萬美元,而截至2023年9月30日爲2,000萬美元。

Conference Call Details

電話會議詳情

Aytu will host a conference call today, February 14, 2024, at 4:30 p.m. Eastern time to discuss financial results for the second quarter of fiscal 2024 for the period ended December 31, 2023.

Aytu將於今天,即美國東部時間2024年2月14日下午4點30分主持電話會議,討論截至2023年12月31日的2024財年第二季度的財務業績。

The conference call will be available via telephone by dialing toll free 888‐506‐0062 for U.S. callers or +1 973‐528‐0011 for international callers and using entry code 566278. A webcast of the call may be accessed at

電話會議將通過電話進行,美國來電者撥打免費電話888‐506−0062,國際來電者撥打+1 973‐528−0011,並使用輸入代碼566278。電話會議的網絡直播可在以下地址觀看

A webcast replay will be available on the Investors News/Events section of the Company's website and may be discontinued at any time. A telephone replay of the call will be available approximately one hour following the call, through February 28, 2024, and can be accessed by dialing 877‐481‐4010 for U.S. callers or +1 919‐882‐2331 for international callers and entering replay access code 49729.

網絡直播重播將在公司網站的 “投資者新聞/活動” 欄目上播出,並可能隨時停止。電話會議結束大約一小時後,將在2024年2月28日之前提供電話重播,美國來電者撥打877‐481−4010,國際來電者撥打+1 919‐882−2331,然後輸入重播接入碼49729,即可進行電話重播。

About Aytu BioPharma, Inc.

關於 Aytu BioPharma, Inc.

Aytu is a pharmaceutical company focused on commercializing novel therapeutics. The Company's prescription products include Adzenys XR-ODT (amphetamine) extended-release orally disintegrating tablets (see Full Prescribing Information, including Boxed WARNING) and Cotempla XR-ODT (methylphenidate) extended-release orally disintegrating tablets (see Full Prescribing Information, including Boxed WARNING) for the treatment of attention deficit hyperactivity disorder (ADHD), Karbinal ER (carbinoxamine maleate), an extended-release antihistamine suspension indicated to treat numerous allergic conditions, and Poly-Vi-Flor and Tri-Vi-Flor, two complementary fluoride-based prescription vitamin product lines available in various formulations for infants and children with fluoride deficiency. To learn more, please visit aytubio.com.

Aytu是一家專注於將新療法商業化的製藥公司。該公司的處方產品包括Adzenys XR-ODT(苯丙胺)緩釋口服崩解片劑(參見完整處方信息,包括盒裝警告)和用於治療注意力缺陷多動障礙(ADHD)的Cotempla XR-ODT(哌醋甲酯)緩釋口服崩解片劑(參見完整處方信息,包括盒裝警告)、Karbinal ER(馬來酸卡比諾沙明),一種延長型Karbinal ER(馬來酸卡賓沙明)釋放抗組胺懸浮液用於治療多種過敏性疾病,以及兩種 Poly-Vi-Flor 和 Tri-Vi-Flor 和 Tri-Vi-Flor基於氟化物的補充性處方維生素產品系列,有多種配方,適用於氟化物缺乏症的嬰兒和兒童。要了解更多信息,請訪問 aytubio.com。

Forward-Looking Statements

前瞻性陳述

This press release includes forward-looking statements within the meaning of Section 27A of the Securities Act of 1933, as amended ("Securities Act"), and Section 21E of the Securities Exchange Act of 1934, as amended ("Exchange Act"). All statements other than statements of historical facts contained in this press release, are forward-looking statements. Forward-looking statements are generally written in the future tense and/or are preceded by words such as "may," "will," "should," "forecast," "could," "expect," "suggest," "believe," "estimate," "continue," "anticipate," "intend," "plan," or similar words, or the negatives of such terms or other variations on such terms or comparable terminology. All statements other than statements of historical facts contained in this presentation, are forward-looking statements. These statements are predictions and are subject to risks and uncertainties that could cause the actual events or results to differ materially. These risks and uncertainties include, among others, risks associated with: the Company's plans relating to the Company's ability to efficiently wind down the Consumer Health Segment, the Company's ability to complete the manufacturing transfer of Adzenys XR-ODT and Cotempla XR-ODT, the Company's overall financial and operational performance, potential adverse changes to the Company's financial position or our business, the results of operations, strategy and plans, changes in capital markets and the ability of the Company to finance operations in the manner expected, risks relating to gaining market acceptance of our products, our partners performing their required activities, our anticipated future cash position, regulatory and compliance challenges and future events under current and potential future collaborations. We also refer you to (i) the risks described in "Risk Factors" in Part I, Item 1A of our most recent Annual Report on Form 10‐K and in the other reports and documents it files with the Securities and Exchange Commission.

本新聞稿包括經修訂的1933年《證券法》(“證券法”)第27A條和經修訂的1934年《證券交易法》(“交易法”)第21E條所指的前瞻性陳述。除本新聞稿中包含的歷史事實陳述外,所有陳述均爲前瞻性陳述。前瞻性陳述通常以將來時態書寫和/或前面有 “可能”、“將”、“應該”、“預測”、“可能”、“期望”、“建議”、“相信”、“估計”、“繼續”、“預期”、“打算” 或類似詞語,或此類術語的否定詞或此類術語或類似術語的其他變體。除本演示文稿中包含的歷史事實陳述外,所有陳述均爲前瞻性陳述。這些陳述是預測,受風險和不確定性的影響,可能導致實際事件或結果出現重大差異。除其他外,這些風險和不確定性包括與以下相關的風險:公司與公司有效關閉消費者健康板塊的能力有關的計劃、公司完成Adzenys XR-ODT和Cotempla XR-ODT的生產轉移的能力、公司的整體財務和運營業績、公司財務狀況或業務的潛在不利變化、經營結果、戰略和計劃的變化、資本市場的變化以及公司以這種方式爲運營融資的能力預期、與我們的產品獲得市場認可相關的風險、我們的合作伙伴開展所需活動、我們預期的未來現金狀況、監管和合規挑戰以及當前和未來潛在合作下的未來事件。我們還請您參閱(i)我們最新的10-K表年度報告第一部分第1A項中的 “風險因素” 及其向美國證券交易委員會提交的其他報告和文件中描述的風險。

Contacts for Investors

投資者聯繫方式

Mark Oki, Chief Financial Officer
Aytu BioPharma, Inc.
moki@aytubio.com

馬克·奧基,首席財務官
Aytu BioPharma, Inc.
moki@aytubio.com

Robert Blum or Roger Weiss
Lytham Partners
aytu@lythampartners.com

羅伯特·布魯姆或羅傑·魏斯
萊瑟姆合作伙伴
aytu@lythampartners.com

Aytu BioPharma, Inc.
Unaudited Consolidated Statements of Operations
(in thousands, except per share data)

Aytu BioPharma, Inc.
未經審計的合併運營報表
(以千計,每股數據除外)

Three Months Ended
December 31,
2023 2022
Product revenue, net
$ 22,934 $ 26,279
Cost of sales
6,731 8,986
Gross profit
16,203 17,293
Operating expenses:
Selling and marketing
6,576 10,560
General and administrative
5,439 8,018
Research and development
524 1,710
Amortization of intangible assets
1,300 1,198
Impairment expense
- 2,600
Loss from contingent consideration
- 75
Total operating expenses
13,839 24,161
Income (loss) from operations
2,364 (6,868)
Other expense, net
(1,179) (1,228)
(Loss) gain on derivative warrant liabilities
(577) 1,403
Income (loss) before income tax
608 (6,693)
Income tax expense
828 -
Net loss
$ (220) $ (6,693)
Basic and diluted weighted-average common shares outstanding
5,517,670 3,110,304
Basic and diluted net loss per common share
$ (0.04) $ (2.15)
三個月已結束
十二月三十一日
2023 2022
產品收入,淨額
$ 22,934 $ 26,279
銷售成本
6,731 8,986
毛利
16,203 17,293
運營費用:
銷售和營銷
6,576 10,560
一般和行政
5,439 8,018
研究和開發
524 1,710
無形資產的攤銷
1,300 1,198
減值支出
- 2,600
或有對價造成的損失
- 75
運營費用總額
13,839 24,161
運營收入(虧損)
2,364 (6,868)
其他費用,淨額
(1,179) (1,228)
衍生權證負債(虧損)收益
(577) 1,403
所得稅前收入(虧損)
608 (6,693)
所得稅支出
828 -
淨虧損
$ (220) $ (6,693)
已發行基本普通股和攤薄後的加權平均普通股
5,517,670 3,110,304
普通股每股基本虧損和攤薄後淨虧損
$ (0.04) $ (2.15)

Aytu BioPharma, Inc.
Unaudited Consolidated Balance Sheets
(in thousands, except share data)

Aytu BioPharma, Inc.
未經審計的合併資產負債表
(以千計,共享數據除外)

December 31, June 30,
2023 2023
ASSETS
Current assets:
Cash and cash equivalents
$ 19,529 $ 22,985
Accounts receivable, net
29,403 28,937
Inventories
13,001 11,995
Prepaid expenses
8,105 8,047
Other current assets
1,333 868
Total current assets
71,371 72,832
Non-current assets:
Property and equipment, net
1,127 1,815
Operating lease right-of-use assets
2,133 2,054
Intangible assets, net
55,711 58,970
Other non-current assets
907 792
Total non-current assets
59,878 63,631
Total assets
$ 131,249 $ 136,463
LIABILITIES AND STOCKHOLDERS' EQUITY
Current liabilities:
Accounts payable
$ 10,473 $ 13,478
Accrued liabilities
43,413 46,799
Short-term line of credit
1,026 1,563
Current portion of debt
39 85
Other current liabilities
9,236 7,090
Total current liabilities
64,187 69,015
Non-current liabilities:
Debt, net of current portion
14,978 14,713
Derivative warrant liabilities
12,887 6,403
Other non-current liabilities
6,344 6,975
Total non-current liabilities
34,209 28,091
Stockholders' equity:
Preferred stock, par value $.0001; 50,000,000 shares authorized; no shares issued or outstanding
- -
Common stock, par value $.0001; 200,000,000 shares authorized; 5,567,347 and 5,517,174 shares issued and outstanding, respectively
1 1
Additional paid-in capital
345,321 343,485
Accumulated deficit
(312,469) (304,129)
Total stockholders' equity
32,853 39,357
Total liabilities and stockholders' equity
$ 131,249 $ 136,463
十二月三十一日 6月30日
2023 2023
資產
流動資產:
現金和現金等價物
$ 19,529 $ 22,985
應收賬款,淨額
29,403 28,937
庫存
13,001 11,995
預付費用
8,105 8,047
其他流動資產
1,333 868
流動資產總額
71,371 72,832
非流動資產:
財產和設備,淨額
1,127 1,815
經營租賃使用權資產
2,133 2,054
無形資產,淨額
55,711 58,970
其他非流動資產
907 792
非流動資產總額
59,878 63,631
總資產
$ 131,249 $ 136,463
負債和股東權益
流動負債:
應付賬款
$ 10,473 $ 13,478
應計負債
43,413 46,799
短期信貸額度
1,026 1,563
債務的流動部分
39 85
其他流動負債
9,236 7,090
流動負債總額
64,187 69,015
非流動負債:
債務,扣除流動部分
14,978 14,713
衍生權證負債
12,887 6,403
其他非流動負債
6,344 6,975
非流動負債總額
34,209 28,091
股東權益:
優先股,面值0.0001美元;已授權5000萬股;未發行或流通股票
- -
普通股,面值0.0001美元;已授權2億股;已發行和流通的股票分別爲5,567,347和5,517,174股
1 1
額外的實收資本
345,321 343,485
累計赤字
(312,469) (304,129)
股東權益總額
32,853 39,357
負債和股東權益總額
$ 131,249 $ 136,463

Aytu BioPharma, Inc.
Unaudited Reconciliation of Net Income (Loss) to Adjusted EBITDA
(in thousands)

Aytu BioPharma, Inc.
未經審計的淨收益(虧損)與調整後息稅折舊攤銷前利潤的對賬
(以千計)

For the Three Months Ended December 31, 2023
Rx Consumer Health Pipeline R&D Consolidated
Net income (loss) - GAAP
$ 667 $ (791) $ (96) $ (220)
Depreciation and amortization
1,510 389 - 1,899
Stock-based compensation expense
707 113 - 820
Other expense, net
1,170 9 - 1,179
Loss on derivative warrant liabilities
577 - - 577
Income tax expense
828 - - 828
Adjusted EBITDA - non-GAAP
$ 5,459 $ (280) $ (96) $ 5,083
For the Three Months Ended December 31, 2022
Rx Consumer Health Pipeline R&D Consolidated
Net loss - GAAP
$ (3,996) $ (1,413) $ (1,284) $ (6,693)
Depreciation and amortization
1,572 281 - 1,853
Impairment expense
2,600 - - 2,600
Stock-based compensation expense
2,974 80 13 3,067
Loss (gain) from contingent consideration
104 (29) - 75
Other expense, net
1,217 11 - 1,228
Gain on derivative warrant liabilities
(1,403) - - (1,403)
Adjusted EBITDA - non-GAAP
$ 3,068 $ (1,070) $ (1,271) $ 727
截至2023年12月31日的三個月
Rx 消費者健康 管道研發 合併
淨收益(虧損)-GAAP
$ 667 $ (791) $ (96) $ (220)
折舊和攤銷
1,510 389 - 1,899
股票薪酬支出
707 113 - 820
其他費用,淨額
1,170 9 - 1,179
衍生權證負債損失
577 - - 577
所得稅支出
828 - - 828
調整後的息稅折舊攤銷前利潤-非公認會計准則
$ 5,459 $ (280) $ (96) $ 5,083
截至2022年12月31日的三個月
Rx 消費者健康 管道研發 合併
淨虧損——GAAP
$ (3,996) $ (1,413) $ (1,284) $ (6,693)
折舊和攤銷
1,572 281 - 1,853
減值支出
2,600 - - 2,600
股票薪酬支出
2,974 80 13 3,067
或有對價的損失(收益)
104 (29) - 75
其他費用,淨額
1,217 11 - 1,228
衍生權證負債的收益
(1,403) - - (1,403)
調整後的息稅折舊攤銷前利潤-非公認會計准則
$ 3,068 $ (1,070) $ (1,271) $ 727

SOURCE: Aytu BioPharma, Inc.

來源:Aytu BioPharma, Inc.


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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