Neptune Announces a Record Nine Months Comprehensive Net Income of $24.8 Million
Neptune Announces a Record Nine Months Comprehensive Net Income of $24.8 Million
Vancouver, British Columbia--(Newsfile Corp. - July 30, 2024) - Neptune Digital Assets Corp. (TSXV: NDA) (OTCQB: NPPTF) (FSE: 1NW) ("Neptune" or the "Company"), one of the first publicly traded blockchain companies in Canada, is pleased to announce the release of its quarterly condensed consolidated interim financial statements and management discussion and analysis for the nine months ended May 31, 2024.
溫哥華,不列顛哥倫比亞省-- (新聞發佈公司 - 2024年7月30日) -- Neptune Digital Assets Corp. (TSXV: NDA) (OTCQB: NPPTF) (FSE: 1NW) (以下簡稱“Neptune”或“公司”),是加拿大最早公開交易的區塊鏈公司之一,很高興地宣佈其截至2024年5月31日的三個季度的調整後合併財務報表和管理討論與分析的發佈。
The financial highlights for the nine months ended May 31, 2024 and the period subsequent to quarter-end up to the date of this news release are as follows.
截至2024年5月31日爲止的九個月的財務亮點和截止日期發佈本新聞稿的後續期間如下。
- Neptune ended the quarter on May 31, 2024 with $57.9 million in assets, an increase of 12% over prior quarter and 76% increase since year-end. The Company has no debt.
- Neptune earned total revenues and other income of $2.5 million through Bitcoin mining, staking, DeFi and other income-generating activities during the nine-month period ended May 31, 2024.
- Neptune mined $1.5 million of Bitcoin during the nine-month period ended May 31, 2024. As of the date of this release, Neptune has a total balance of 345 Bitcoin in cold storage. Neptune presently retains all its Bitcoin in cold storage and does not engage in active selling or trading.
- Neptune's three largest digital asset holdings as of the date of this release are 345 BTC, 31,727 SOLANA and 185,000 ATOM. The Company also holds positions in ETH, DOT, FTM, DASH , GRT, OCEAN and a number of other tokens, as well as an investment in SpaceX valued at approximately $4.1 million.
- Neptune currently maintains a cash and short-term investments balance of $6 million held with tier 1 Canadian banks.
- Neptune於2024年5月31日結束本季度,資產爲5790萬美元,環比上一季度增長12%,年初以來增長76%。公司沒有債務。
- Neptune在截至2024年5月31日的九個月期間通過比特幣挖掘、質押、DeFi和其他創收活動實現了總收入和其他收入250萬美元。
- Neptune在截至2024年5月31日的九個月期間挖掘了150萬美元的比特幣。截至本發佈日期,Neptune在冷存儲中總共持有345枚比特幣。Neptune目前將所有比特幣保留在冷存儲中,不參與主動銷售或交易。
- 截至本發佈日期,Neptune的三個最大數字資產持倉是345 BTC、31,727 SOLANA和185,000 ATOm。該公司還持有ETH、DOt、FTm、DASH、GRt、OCEAN和多個其他代幣的頭寸,以及對太空探索技術公司SpaceX的約410萬美元的投資。
- Neptune目前在加拿大第一梯隊銀行中持有600萬美元的現金和短期投資餘額。
"Neptune has again shown that our conservative approach to asset management in a volatile space is paying off. Our investments in both SpaceX and discounted Solana tokens have proven to be extremely accretive to the balance sheet, while our staking and proof-of-work mining operations continuously grow our bitcoin focused asset base," stated Cale Moodie, Neptune's CEO. "We look forward to an exciting fall of 2024 and a cryptocurrency resurgence into 2025."
“Neptune再次證明了我們在這個波動行業中資產管理的穩健方法正在取得成果。而我們對SpaceX和折價Solana代幣的投資,證明了對資產負債表非常有利。同時,我們的質押和挖掘運營業務不斷擴大比特幣資產基礎,” Neptune的CEO Cale Moodie說道。 “我們期待着2024年秋天的精彩表現和2025年數字貨幣的復甦。”
Operating and Financial Overview | ||||||||
($CAD) | ||||||||
For the nine-month period ended | May 31, 2024 |
May 31, 2023 |
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|
|
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Mining revenue | 1,539,179 |
1,782,433 |
||||||
Staking revenue | 419,003 |
466,390 |
||||||
DeFi revenue | - |
22,017 |
||||||
Direct Mining expenses (not incl depreciation) | (1,175,078) |
(1,483,673) |
||||||
Other income* | 513,392 |
649,844 |
||||||
Total earnings |
1,296,496 |
1,437,011 |
||||||
|
|
|||||||
Depreciation** | 215,386 |
389,161 |
||||||
Stock based compensation** | 234,894 |
443,069 |
||||||
General expenses | 1,244,186 |
1,696,175 |
||||||
|
|
|||||||
Impairments | - |
(183,168) |
||||||
Realized gain on settlements and sales | 153,914 |
575,842 |
||||||
Revaluation gain on digital currencies*** | 20,619,885 |
3,197,584 |
||||||
Unrealized gain related to lending activities and investments | 4,442,156 |
1,930 |
||||||
Comprehensive income for the period |
24,817,985 |
2,500,794 |
||||||
Financial Position |
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|
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($CAD) | |
|
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|
|
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As at | May 31, 2024 |
August 31, 2023 |
||||||
Cash and receivables | 7,100,824 |
12,118,891 |
||||||
Total digital assets | 36,484,533 |
12,946,322 |
||||||
Total other assets | 14,290,877 |
7,870,310 |
||||||
Total liabilities | 241,915 |
654,475 |
||||||
Total shareholders equity |
57,634,319 |
32,281,048 |
||||||
Working capital**** | 16,701,996 |
14,538,573 |
||||||
|
|
|
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* All non-Bitcoin mining, and non-Staking revenue and non-DeFi revenue generating activities | ||||||||
** Non-cash items, including depreciation of mining rigs | |
|||||||
*** Revaluation is calculated as the change in value (gain or loss) on digital currencies. When digital currencies are sold, the net difference between the proceeds received and the cost of the digital currencies determined on a First-in, First-out basis, is recorded as a gain (loss) on the sale of digital currencies | ||||||||
**** Current assets less current liabilities | |
|
運營和財務概覽 | ||||||||
(加元) | ||||||||
截至九個月的期末 | 2024年5月31日 |
2023年5月31日 |
||||||
|
|
|||||||
礦業營業收入 | 1,539,179 |
1,782,433 |
||||||
權益證明收入 | 419,003 |
466,390 |
||||||
DeFi收入 | - |
22,017 |
||||||
直接礦業開支(不包括折舊) | (1,175,078) |
(1,483,673) |
||||||
其他收入* | 513,392 |
649,844 |
||||||
總收入 | 1,296,496 |
1,437,011 |
||||||
|
|
|||||||
折舊費用** | 215,386 |
389,161 |
||||||
股份補償** | 234,894 |
443,069 |
||||||
一般支出 | 1,244,186 |
1,696,175 |
||||||
|
|
|||||||
減值 | - |
(183,168) |
||||||
已實現的結算和銷售收益 | 153,914 |
575,842 |
||||||
數字貨幣重估收益*** | 20,619,885 |
3,197,584 |
||||||
與放貸活動和投資相關的未實現收益 | 4,442,156 |
1,930 |
||||||
本期綜合收益 | 24,817,985 |
2,500,794 |
||||||
財務狀況 |
|
|
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(加元) | |
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|
|
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下面包括了開多期債務和總債務的對比: | 2024年5月31日 |
2023年8月31日 |
||||||
現金和應收款項 | 7,100,824 |
12,118,891 |
||||||
數字資產總計 | 36,484,533 |
12,946,322 |
||||||
其他資產總計 | 14,290,877 |
7,870,310 |
||||||
負債合計 | 241,915 |
654,475 |
||||||
總股東權益 | 57,634,319 |
32,281,048 |
||||||
營運資本**** | 16,701,996 |
14,538,573 |
||||||
|
|
|
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* 所有非比特幣礦業,非 Staking 營業收入和非 defi 收入的活動 | ||||||||
** 非現金項目,包括礦機折舊 | |
|||||||
*** 重新評估計算爲數字貨幣價值變化(收益或損失)。當數字貨幣出售時,根據先進先出原則確定的數字貨幣成本和售出收益之間的淨差額記錄爲數字貨幣銷售的收益(損失) | ||||||||
**** 流動資產減去流動負債 | |
|
About Neptune Digital Assets Corp.
關於 Neptune Digital Assets Corp.
Neptune Digital Assets Corp. (TSXV: NDA) (OTCQB: NPPTF) (FSE: 1NW) is one of the first publicly traded blockchain companies in Canada and is at the forefront of the cryptocurrency and blockchain landscape. Neptune engages in operations across the digital asset ecosystem including Bitcoin mining, proof-of-stake mining, blockchain nodes, decentralized finance (DeFi), and other associated cutting-edge technology. Our unwavering commitment to innovation and strategic growth enables us to continually explore new opportunities and maximize value for our shareholders. For more information about Neptune Digital Assets Corp., please visit our website at or follow us on X (@NeptuneDAC).
Neptune Digital Assets Corp.(TSXV:NDA)(OTCQB:NPPTF)(FSE:1NW)是加拿大最早的上市區塊鏈公司之一,也處於加密貨幣和區塊鏈領域的前沿。Neptune在數字資產生態系統中從事比特幣礦業、權益證明礦業、區塊鏈節點、去中心化金融(DeFi)和其他相關尖端科技的各項業務。我們不懈的創新精神和戰略增長使我們能夠不斷探索新機會,併爲股東最大化價值。有關Neptune Digital Assets Corp.的更多信息,請訪問我們的網站,或在X上關注我們的動態(@NeptuneDAC)。
ON BEHALF OF THE BOARD
代表董事會
Cale Moodie, President and CEO
Neptune Digital Assets Corp.
1-800-545-0941
Cale Moodie, Neptune Digital Assets Corp. 的總裁兼首席執行官
Neptune Digital Assets Corp.
1-800-545-0941
Neither TSX Venture Exchange nor its Regulation Services Provider (as that term is defined in the policies of the TSX Venture Exchange) accepts responsibility for the adequacy or accuracy of this release.
TSX Venture Exchange及其監管服務供應商(如該術語在 TSX Venture Exchange的政策中定義)均不對此次發佈的充分性或準確性負責。
Forward-Looking Statements
前瞻性聲明
This release contains certain "forward looking statements" and certain "forward-looking information" as defined under applicable Canadian securities laws. Forward-Looking statements and information can generally be identified by the use of forward-looking terminology such as "may", "will", "expect", "intend", "estimate", "anticipate", "believe", "continue", "plans", "proposes" or similar terminology. Forward-Looking statements and information are based on forecasts of future results, estimates of amounts not yet determinable and assumptions that, while believed by management to be reasonable, are inherently subject to significant business, economic and competitive uncertainties, and contingencies. Forward-Looking statements and information are subject to various known and unknown risks and uncertainties, many of which are beyond the ability of the Company to control or predict, that may cause the Company's actual results, performance or achievements to be materially different from those expressed or implied thereby, and are developed based on assumptions about such risks, uncertainties and other factors set out herein, including but not limited to: the auditors completing the remining auditing items with respect to the Annual Filings; the inherent risks involved in the cryptocurrency and general securities markets; the Company may not be able to profitably liquidate its current digital currency inventory, or at all; a decline in digital currency prices may have a significant negative impact on the Company's operations; the volatility of digital currency prices; uncertainties relating to the availability and costs of financing needed in the future; the inherent uncertainty of production and cost estimates and the potential for unexpected costs and expenses, currency fluctuations; regulatory restrictions, liability, competition, loss of key employees and other related risks and uncertainties.
本公告包含特定的“前瞻性陳述”和特定的“前瞻性信息”,均按適用加拿大證券法規定定義。前瞻性陳述和信息可以通過使用諸如“可能”、“將”、“期望”、“打算”、“估計”、“預測”、“相信”、“持續”、“計劃”、“擬議”或類似術語的前瞻性術語進行識別。前瞻性陳述和信息基於未來結果的預測、尚未確定的數額的估計和假設,儘管管理層認爲這些假設是合理的,但它們本質上會受到重大的商業、經濟和競爭的不確定性和可能性的影響。前瞻性陳述和信息受到各種已知和未知的風險和不確定性的影響,其中許多風險和不確定性超出了公司的控制或預測範圍,這可能導致公司的實際業績或成果與其所表達或暗示的實質上不同,這些風險、不確定性和其他因素的假設可以在此處設置,包括但不限於:核數師完成年度文件中剩餘的審計項目;數字貨幣市場和普通證券市場所涉及的固有風險;公司可能無法有利地清算其當前的數字貨幣庫存,或根本無法清算;數字貨幣價格下跌可能會對公司的業務產生重大負面影響;數字貨幣價格的波動性;有關未來融資可用性和成本的不確定性;生產和成本估算的不確定性和意外的成本和費用,貨幣波動;監管限制、責任、競爭、關鍵員工流失和其他相關風險和不確定性。
The Company does not undertake any obligation to update forward-looking information except as required by applicable law. Such forward-looking information represents management's best judgment based on information currently available. No forward-looking statement can be guaranteed and actual future results may vary materially. Accordingly, readers are advised not to place undue reliance on forward-looking statements or information.
公司不承擔更新前瞻性信息的任何義務,除非適用法律要求。此類前瞻性信息代表管理層根據目前可用的信息作出的最佳判斷。無法保證任何前瞻性陳述,實際未來結果可能有所不同。因此,讀者被建議不要過度依賴前瞻性陳述或信息。
譯文內容由第三人軟體翻譯。