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Tantalus Systems Holding Inc. Reports Financial Results for Q4 and Fiscal Year of 2023

Tantalus Systems Holding Inc. Reports Financial Results for Q4 and Fiscal Year of 2023

Tantalus Systems Holding Inc. 公佈了第四季度和 2023 財年的財務業績
newsfile ·  03/27 04:11

Delivers record revenue and neutral Adjusted EBITDA for the year

實現了創紀錄的年度收入和中性的調整後息稅折舊攤銷前利潤

Burnaby, British Columbia--(Newsfile Corp. - March 26, 2024) - Tantalus Systems (TSX: GRID) ("Tantalus" or the "Company"), a technology company dedicated to helping utilities modernize their distribution grids by harnessing the power of data, is pleased to announce its financial and operating results for the quarter ("Q4") and fiscal year ("FY") ended December 31, 2023.

不列顛哥倫比亞省本那比--(Newsfile Corp.,2024年3月26日)——致力於通過利用數據的力量幫助公用事業實現配電網現代化的科技公司Tantalus Systems(多倫多證券交易所股票代碼:GRID)(“Tantalus” 或 “公司”)很高興地宣佈其截至2023年12月31日的季度(“第四季度”)和財年(“財年”)的財務和經營業績。

Financial Highlights for FY 2023 and Q4 20231:

2023 財年和 2023 年第四季度的財務摘要1:

  • Revenue: The Company generated the highest annual revenue in its history of US$42.1 million (CND$56.8 million), inclusive of US$10.4 million (CND$14.0 million) in Q4, representing a 6% increase over 2022. Revenue contributions from the Utility Software Applications and Services segment ("Software & Services") in 2023 and Q4 hit 35%, representing the highest percentage contribution in the Company's history.
  • Annual Recurring Revenue (ARR)2: The Company hit another record by growing ARR to approximately US$11.5 million (CND$15.2 million) as of December 31, 2023, representing 17% growth year-over-year. Recurring Revenue recognized in the Q4 represented approximately 24% of total revenue generated.
  • Gross Profit2 Margin: The Company delivered 52% for 2023 and 51% for Q4 compared to 48% and 45%, respectively, over the prior year periods. The Gross Profit Margin percentage in 2023 is the highest percentage in the Company's history and reflects the achievement of an important milestone to drive operating leverage as the business continues to scale.
  • Adjusted EBITDA2: The Company delivered positive Adjusted EBITDA of US$0.35 million (approximately CND$0.5 million) in Q4 compared to positive Adjusted EBITDA of US$0.1 million (approximately CND$0.1 million) for the prior year period. Adjusted EBITDA for FY 2023, approached a point of neutrality at negative US$29k (approximately negative CND$40k) compared to negative US$2.4 million (negative CND$3.1 million) for the prior year. The Adjusted EBITDA result for 2023 includes approximately US$5.0 million (approximately CND$6.8 million) of further investment in the TRUSense Gateway product offering made throughout the year.
  • 收入:該公司在第四季度創造了其歷史最高的年收入,爲4,210萬美元(合5,680萬加元),其中包括1,040萬美元(合1,400萬加元),比2022年增長6%。2023年和第四季度,公用事業軟件應用程序和服務板塊(“軟件與服務”)的收入貢獻達到35%,這是公司歷史上最高的百分比貢獻。
  • 年度經常性收入 (ARR)2:截至2023年12月31日,該公司再創紀錄,ARR增長至約1150萬美元(合1,520萬加元),同比增長17%。第四季度確認的經常性收入約佔總收入的24%。
  • 毛利2 按金:該公司2023年的交付率爲52%,第四季度的交付率爲51%,而去年同期分別爲48%和45%。2023年的毛利率百分比是公司歷史上最高的百分比,反映了隨着業務的持續擴大,在提高運營槓桿率方面取得了重要的里程碑。
  • 調整後 EBITDA2:該公司在第四季度實現了正的調整後息稅折舊攤銷前利潤爲35萬美元(約合50萬元人民幣),而去年同期的調整後息稅折舊攤銷前利潤爲10萬美元(約合10萬加元)。調整後的2023財年息稅折舊攤銷前利潤接近中性點,爲負2.9萬美元(約合負4萬加元),而去年同期爲負240萬美元(負310萬加元)。2023年調整後的息稅折舊攤銷前利潤業績包括全年對TruSense Gateway產品提供的約500萬美元(約合680萬元人民幣)的進一步投資。
  • Total Assets: The Company ended Q4 with US$34.8 million (CND$46.0 million) as compared to US$37.4 million (CND$50.7 million) as of December 31, 2022.
  • 總資產:該公司在第四季度末爲3,480萬美元(合4,600萬元人民幣),而截至2022年12月31日爲3,740萬美元(合5,070萬加元)。
  • Sales Orders: The Company converted US$35.1 million (CND$47.8 million) in orders through 2023 and added 17 new utilities to its user community, which stands at 288 as of December 31, 2023.
  • 銷售訂單: 截至2023年,該公司轉換了3510萬美元(合4,780萬元人民幣)的訂單,並向其用戶社區增加了17家新公用事業公司,截至2023年12月31日,該社區爲288個。

"Delivering record results for revenue, percentage contributions from Software & Services, Gross Profit Margin percentage and Annual Recurring Revenue are a testament to the hard work and collaboration of our entire team," said Peter Londa, President & CEO of Tantalus. "We are pleased to maintain a favorable trajectory for our shareholders by delivering another year of growth and reverting back to neutral Adjusted EBITDA for the year. We continue to invest heavily in the development and commercialization of the TRUSense Gateway and our TRUSync Grid Data Management software. As we gather feedback from the industry, we believe these investments in R&D represent a substantial near- and long-term opportunity for the Company and will ensure Tantalus is well-positioned to help utilities accelerate their grid modernization efforts."

Tantalus總裁兼首席執行官彼得·隆達表示:“創紀錄的收入、軟件和服務貢獻百分比、毛利率百分比和年度經常性收入業績證明了我們整個團隊的辛勤工作和協作。”“我們很高興通過實現又一年的增長並使該年度的調整後息稅折舊攤銷前利潤恢復到中性水平,爲股東保持良好的發展軌跡。我們將繼續大力投資於TruSense網關和我們的TruSync網格數據管理軟件的開發和商業化。在我們收集行業反饋時,我們認爲這些研發投資爲公司帶來了巨大的短期和長期機遇,並將確保Tantalus處於有利地位,可以幫助公用事業公司加快電網現代化工作。”

The Company will hold a conference call and webcast to discuss the financial results on Wednesday, March 27, 2024, at 11:00 am Eastern Time.

該公司將於美國東部時間2024年3月27日星期三上午11點舉行電話會議和網絡直播,討論財務業績。

Conference Call

電話會議

Participant Dial In (Toll Free): 1-844-854-4410
Participant International Dial In: 1-412-317-5791

參與者撥入(免費電話):1-844-854-4410
參與者國際撥號:1-412-317-5791

Participants, please ask to be joined to the Tantalus Systems call.

參與者,請申請加入坦塔洛斯系統的電話會議。

Webcast

網絡直播

Webcast URL:

網絡直播網址:

Replay Information

重播信息

A conference call and webcast replay will be available until April 3, 2024. To access the conference call replay, please see details below:

電話會議和網絡直播重播將持續到2024年4月3日。要訪問電話會議重播,請查看以下詳細信息:

US Toll Free: 1-877-344-7529
International Toll: 1-412-317-0088
Canada Toll Free: 1-855-669-9658
Replay Access Code: 1490543

美國免費電話:1-877-344-7529
國際電話:1-412-317-0088
加拿大免費電話:1-855-669-9658
重播訪問碼:1490543

Financial Statements and Management Discussion & Analysis

財務報表和管理層討論與分析

Please see the Company's consolidated financial statements ("Financial Statements") and related Management's Discussion & Analysis ("MD&A") for more details. The Financial Statements for the three and twelve months ended December 31, 2023, and related MD&A have been reviewed and approved by Tantalus' Audit Committee and Board of Directors. For a more detailed explanation and analysis, please refer to the MD&A that has been filed on SEDAR+ at and is also available on the Company's website at .

更多詳情請參閱公司的合併財務報表(“財務報表”)和相關的管理層討論與分析(“MD&A”)。Tantalus審計委員會和董事會已經審查和批准了截至2023年12月31日的三個月和十二個月的財務報表以及相關的管理層和分析。有關更詳細的解釋和分析,請參閱已在SEDAR+上提交的MD&A,網址爲該公司的網站,網址爲。

Non-IFRS and Other Financial Measures

非國際財務報告準則和其他財務指標

This press release refers to the following non-IFRS measures:

本新聞稿涉及以下非國際財務報告準則指標:

"EBITDA" is comprised as income (loss) less interest, income tax and depreciation and amortization. Management believes that EBITDA is a useful indicator for investors, and is used by management, in evaluating the operating performance of the Company. "Adjusted EBITDA" is comprised as income (loss) less interest, income tax, depreciation, amortization, stock-based compensation, foreign exchange gain (loss) and other income / expenses not attributable to the operations of the Company. Management believes that Adjusted EBITDA is a useful indicator for investors, and is used by management, in evaluating the operating performance of the Company. See "Reconciliation of Net (Loss) / Income to Adjusted EBITDA" for a quantitative reconciliation of Adjusted EBITDA to the most directly comparable financial measure.

“息稅折舊攤銷前利潤” 由收入(虧損)減去利息、所得稅以及折舊和攤銷組成。管理層認爲,息稅折舊攤銷前利潤是投資者的有用指標,管理層使用它來評估公司的經營業績。“調整後息稅折舊攤銷前利潤” 包括收入(虧損)減去利息、所得稅、折舊、攤銷、股票薪酬、外匯收益(虧損)和其他不可歸因於公司運營的收入/支出。管理層認爲,調整後的息稅折舊攤銷前利潤是投資者的有用指標,管理層將其用於評估公司的經營業績。有關調整後息稅折舊攤銷前利潤與最直接可比財務指標的量化對賬,請參閱 “淨(虧損)/收入與調整後息稅折舊攤銷前利潤的對賬”。

"Gross Profit" is comprised as the Company's revenues less cost of sales. Management believes that Gross Profit is a useful indicator for investors, and is used by management, in evaluating the operating performance of the Company. See "Gross Profit Reconciliation" for a quantitative reconciliation of Gross Profit to the most directly comparable financial measure. This press release refers to "Gross Profit Margin" which is a non-IFRS ratio. Gross Profit Margin is comprised of Gross Profit expressed as a percentage of the Company's revenues. Management believes that Gross Profit Margin is a useful indicator for investors, and is used by management, in evaluating the operating performance of the Company.

“毛利” 由公司的收入減去銷售成本組成。管理層認爲,毛利潤是投資者的有用指標,管理層使用毛利來評估公司的經營業績。有關毛利與最直接可比財務指標的量化對賬,請參見 “毛利對賬”。本新聞稿提到 “毛利率”,這是非國際財務報告準則的比率。毛利率由毛利組成,以公司收入的百分比表示。管理層認爲,毛利率是投資者的有用指標,管理層在評估公司的經營業績時使用毛利率。

"Adjusted Working Capital" is comprised as current assets less current liabilities exclusive of the Company's bank loan and contingent consideration relating to the acquisition of DLC Systems, Inc. d/b/a Congruitive ("Congruitive"). Management believes Adjusted Working Capital is a useful indicator for investors, and is used by management, for evaluating the operating liquidity to the Company. See "Adjusted Working Capital Reconciliation" for a quantitative reconciliation of Adjusted Working Capital to the most directly comparable financial measure.

“調整後的營運資金” 由流動資產減去不包括公司銀行貸款的流動負債組成 以及與收購 DLC Systems, Inc. d/b/a Congruitive(“Congruitive”)相關的或有對價。管理層認爲,調整後的營運資金是投資者的有用指標,管理層使用調整後的營運資金來評估公司的運營流動性。有關調整後營運資金與最直接可比財務指標的量化對賬,請參閱 “調整後的營運資金對賬”。

"Recurring Revenue" is comprised of the Company's revenues that are recurring in nature and attributable to its analytics and other software as a service ("SaaS") offering, hosting services and software maintenance and technical support agreement services. "Annual Recurring Revenue" or "ARR" is comprised of the Company's Recurring Revenue as expressed on an annualized revenue basis attributable to its customer agreements at a point in time.

“經常性收入” 由公司的經常性收入組成,可歸因於其分析和其他軟件即服務(“SaaS”)產品、託管服務以及軟件維護和技術支持協議服務。“年度經常性收入” 或 “ARR” 由公司的經常性收入組成,該收入按年化收入表示,該收入歸因於其在某一時間點的客戶協議。

Such non-IFRS measures and non-IFRS ratio do not have a standardized meaning under IFRS and may not be comparable to a similar measure disclosed by other issuers.

根據國際財務報告準則,此類非國際財務報告準則指標和非國際財務報告準則比率沒有標準化含義,可能無法與其他發行人披露的類似指標相提並論。

Gross Profit Margin Reconciliation

毛利率對賬



Three months




Three months




Twelve months




Twelve months




ended




ended




ended




ended




December 31,




December 31,




December 31,




December 31,




2023

%


2022

%


2023

%


2022

%

Revenue $ 10,370,092

100%

$ 12,164,972

100%

$ 42,146,982

100%

$ 39,603,023

100%

Cost of sales
5,042,655

49%


6,640,844

55%


20,288,566

48%


20,706,736

52%

Gross Profit $ 5,327,437

51%

$ 5,524,128

45%

$ 21,858,416

52%

$ 18,896,287

48%



三個月




三個月




十二個月




十二個月




已結束




已結束




已結束




已結束




十二月三十一日




十二月三十一日




十二月三十一日




十二月三十一日




2023

%


2022

%


2023

%


2022

%

收入 $ 10,370,092

100%

$ 12,164,972

100%

$ 42,146,982

100%

$ 39,603,023

100%

銷售成本
5,042,655

49%


6,640,844

55%


20,288,566

48%


20,706,736

52%

毛利 $ 5,327,437

51%

$ 5,524,128

45%

$ 21,858,416

52%

$ 18,896,287

48%

Reconciliation of Net (Loss)/Income to Adjusted EBITDA

淨(虧損)/收入與調整後息稅折舊攤銷前利潤的對賬

Three months
Three months
Twelve months
Twelve months
ended December
ended December
ended December
ended December
31, 2023
31, 2022
31, 2023
31, 2022
Income (loss) for the period $ 1,690,831
$ 159,210
$ (1,685,197) $ (5,195,416)
Finance expense (a) 369,046
297,713
1,509,458
1,070,085
Income taxes (13,039) (912,580) 10,686
(881,597)
Depreciation and amortization
454,458
318,945
1,834,570
1,898,701
EBITDA 2,501,296
(136,712) 1,669,517
(3,108,227)
Stock-based compensation (b) 92,972
169,668
423,221
773,478
Foreign exchange (c) 122,176
70,690
211,153
(682,774)
Congruitive acquisition related costs (d) -
-
-
586,960
EDC Loan related legal costs (e) (80,000) -
-
-
Government subsidy (f) 44,681
-
-
-
Recovery of contingent liability (g) (2,332,702) -
(2,332,702) -
Adjusted EBITDA $ 348,423
$ 103,646
$ (28,811) $ (2,430,563)
三個月
三個月
十二個月
十二個月
十二月結束
十二月結束
十二月結束
十二月結束
2023 年 31 日
2022 年 31 日
2023 年 31 日
2022 年 31 日
該期間的收入(虧損) $ 1,690,831
$ 159,210
$ (1,685,197) $ (5,195,416)
財務費用 (a) 369,046
297,713
1,509,458
1,070,085
所得稅 (13,039) (912,580) 10,686
(881,597)
折舊和攤銷
454,458
318,945
1,834,570
1,898,701
EBITDA 2,501,296
(136,712) 1,669,517
(3,108,227)
股票薪酬 (b) 92,972
169,668
423,221
773,478
外匯 (c) 122,176
70,690
211,153
(682,774)
合計收購相關成本 (d) -
-
-
586,960
EDC 貸款相關法律費用 (e) (80,000) -
-
-
政府補貼 (f) 44,681
-
-
-
追回或有負債 (g) (2,332,702) -
(2,332,702) -
調整後 EBITDA $ 348,423
$ 103,646
$ (28,811) $ (2,430,563)

(a) Finance expense comprised of interest and related finance expense on bank loans and lease liabilities.
(b)
Share-based non-cash compensation expense.
(c)
Foreign exchange comprised of unrealized (gain) / loss from non-functional currency assets and liabilities.
(d)
General and administrative expenses pertaining to the Company's acquisition of Congruitive.
(e)
Legal fees pertaining to the EDC Loan.
(f)
United States Employee Retention Tax Credit (ERTC).
(g)
Recovery of contingent liability relating to Congruitive acquisition.

(a) 財務費用包括銀行貸款和租賃負債的利息和相關財務費用。
(b)
基於股份的非現金薪酬支出。
(c)
外匯由非本位貨幣資產和負債的未實現(收益)/虧損組成。
(d)
與公司收購Congruitive有關的一般和管理費用。
(e)
與EDC貸款有關的律師費。
(f)
美國員工留用稅收抵免(ERTC)。
(g)
追回與合約收購相關的或有負債。

Adjusted Working Capital Reconciliation

調整後的營運資金對賬

December 31,
December 31,
Adjusted Working Capital 2023
2022
Total current assets $ 21,798,349
$ 22,794,298
Less: current liabilities
(27,268,936)
(29,496,580)
(5,470,587) (6,702,282)
Add: Bank loans - current portion 8,500,000
9,200,000
Add: Contingent consideration
-

2,458,702
Adjusted Working Capital $ 3,029,413
$ 4,956,420
十二月三十一日
十二月三十一日
調整後的營運資金 2023
2022
流動資產總額 $ 21,798,349
$ 22,794,298
減去:流動負債
(27,268,936)
(29,496,580)
(5,470,587) (6,702,282)
添加:銀行貸款-流動部分 8,500,000
9,200,000
添加:臨時考慮
-

2,458,702
調整後的營運資金 $ 3,029,413
$ 4,956,420

About Tantalus Systems Holding Inc. (TSX: GRID)

關於坦塔洛斯系統控股公司(多倫多證券交易所股票代碼:GRID)

Tantalus is a technology company dedicated to helping utilities modernize their distribution grids by harnessing the power of data across all their devices and systems deployed throughout the entire distribution grid. We offer a grid modernization platform across multiple levels: intelligent connected devices, communications networks, data management, enterprise applications and analytics. Our solutions provide utilities with the flexibility they need to get the most value from existing infrastructure investments while leveraging advanced capabilities to plan for future requirements. Learn more at .

Tantalus 是一家科技公司,致力於利用部署在整個配電網中的所有設備和系統的數據力量,幫助公用事業實現配電網現代化。我們提供跨多個級別的電網現代化平台:智能聯網設備、通信網絡、數據管理、企業應用程序和分析。我們的解決方案爲公用事業提供了所需的靈活性,使他們能夠從現有基礎設施投資中獲得最大價值,同時利用高級功能來規劃未來需求。要了解更多,請訪問。

Forward-Looking Statements:

前瞻性陳述:

This news release contains "forward-looking information" within the meaning of applicable securities laws. Forward-looking information is generally identifiable by use of the words "believes", "may", "plans", "will", "anticipates", "intends", "could", "estimates", "expects", "forecasts", "projects" and similar expressions, and the negative of such expressions. Forward-looking information in this news release includes statements such as those relating to: increasing demand for the Company's solutions in support of utilities' grid modernization efforts, the commercialization and adoption of the TRUSense Gateway and TRUSync Grid Data Management (formerly known as Congruitive) software capabilities, feedback from the Company's industry, and the benefits of investment in related research and development ("R&D") initiatives to support and accelerate growth for the Company in the near- and long-term, and the ability to execute the Company's plan.

本新聞稿包含適用證券法所指的 “前瞻性信息”。前瞻性信息通常可以通過使用 “相信”、“可能”、“計劃”、“將”、“預期”、“打算”、“可能”、“估計”、“預期”、“預測”、“項目” 等詞語以及此類表述的否定詞來識別。本新聞稿中的前瞻性信息包括與以下內容相關的陳述:對支持公用事業公司電網現代化工作的解決方案的需求不斷增加、TruSense Gateway和TruSync網格數據管理(前身爲Congruitive)軟件功能的商業化和採用、公司行業的反饋以及投資相關研發(“研發”)計劃以支持和加速公司近期和近期增長的好處長期和執行能力公司的計劃。

To the extent any forward-looking information in this news release constitutes a "financial outlook" within the meaning of securities laws, such information is being provided because management's estimate of the future financial performance of Tantalus is useful to investors, and readers are cautioned that this information may not be appropriate for any other purpose and that they should not place undue reliance on such information.

就本新聞稿中的任何前瞻性信息構成證券法所指的 “財務前景” 而言,之所以提供此類信息,是因爲管理層對Tantalus未來財務業績的估計對投資者有用,並提醒讀者,這些信息可能不適用於任何其他目的,他們不應過分依賴此類信息。

In connection with the forward-looking information contained in this news release, Tantalus has made numerous assumptions, regarding, among other things: the expected impact of supply chain constraints, the expected impact of inflationary pressures on costs and the expected timing of new product introductions, and the ongoing R&D investments and commercialization of the TRUSense Gateway. While Tantalus considers these assumptions to be reasonable, these assumptions are inherently subject to significant uncertainties and contingencies. Additionally, there are known and unknown risk factors which could cause Tantalus' actual results, performance or achievements to be materially different from any future results, performance or achievements expressed or implied by the forward-looking information contained herein. A complete discussion of the risks and uncertainties facing Tantalus is disclosed under the heading "Risk Factors" in Tantalus' Annual Information Form dated March 31, 2023 and the Company's Annual Information Form to be filed on or prior to March 31, 2024, as well as those risk factors included with Tantalus' continuous disclosure filings with Canadian securities regulatory authorities available at . All forward-looking information herein is qualified in its entirety by this cautionary statement, and Tantalus disclaims any obligation to revise or update any such forward-looking information or to publicly announce the result of any revisions to any of the forward-looking information contained herein to reflect future results, events or developments, except as required by law.

關於本新聞稿中包含的前瞻性信息,Tantalus做出了許多假設,其中包括:供應鏈限制的預期影響、通貨膨脹壓力對成本的預期影響和新產品推出的預期時機,以及TruSense Gateway的持續研發投資和商業化。儘管Tantalus認爲這些假設是合理的,但這些假設本質上會受到重大的不確定性和偶發性的影響。此外,還有一些已知和未知的風險因素可能導致Tantalus的實際業績、業績或成就與本文所包含的前瞻性信息所表達或暗示的任何未來業績、業績或成就存在重大差異。 在2023年3月31日的Tantalus年度信息表和將於2024年3月31日或之前提交的公司年度信息表中,在 “風險因素” 標題下披露了對Tantalus面臨的風險和不確定性的完整討論,以及Tantalus向加拿大證券監管機構提交的持續披露文件中包含的風險因素,可在以下網址查閱。除非法律要求,否則Tantalus沒有義務修改或更新任何此類前瞻性信息,也沒有義務公開宣佈對本文中包含的任何前瞻性信息進行任何修訂以反映未來業績、事件或發展的結果。

Contact Tantalus:
Deborah Honig
Investor Relations
647-203-8793 | deborah@adcap.ca

聯繫坦塔洛斯:
黛博拉·霍尼格
投資者關係
647-203-8793 | deborah@adcap.ca

Website:
LinkedIn: LinkedIn/company/tantalus
X (formerly Twitter): @TantalusCorp

網站:
領英:LinkedIn/company/Tantalus
X(前身爲 Twitter):@TantalusCorp


1 Financial information is reported in United States dollars ("$") unless otherwise stated and in accordance with International Financial Reporting Standards ("IFRS"). Where balances are also expressed in Canadian dollars ("CND$") in this MD&A, an average foreign exchange rate of 0.7342 and 0.7410 for the three and twelve months ended December 31, 2023 (0.7366 and 0.7685 for three and twelve months ended December 31, 2022) for income statement items and a foreign exchange rate of 0.7561 as at December 31, 2023 (0.7383 as at December 31, 2022) for balance sheet items has been applied. Certain dollar amounts in this MD&A have been rounded to the nearest millions or thousands of dollars.

1 除非另有說明,否則財務信息按照《國際財務報告準則》(“IFRS”)以美元(“美元”)報告。在本MD&A中,餘額也以加元(“CND$”)表示,截至2023年12月31日的三個月和十二個月,損益表項目的平均外匯匯率爲0.7342和0.7410(截至2022年12月31日的三個月和十二個月爲0.7366和0.7685),截至2023年12月31日的外匯匯率爲0.7561(截至2022年12月31日爲0.7383)已應用資產負債表項目。本MD&A中的某些美元金額已四捨五入至最接近的數百萬或數千美元。

2 See "Non-IFRS and Other Financial Measures."

2 請參閱 “非國際財務報告準則和其他財務指標”。

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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