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Atomera Provides Third Quarter 2024 Results

Atomera Provides Third Quarter 2024 Results

Atomera公布2024年第三季度业绩
Accesswire ·  10/30 04:02

LOS GATOS, CA / ACCESSWIRE / ­October 29, 2024 ­­/ Atomera Incorporated (NASDAQ:ATOM), a semiconductor materials and technology licensing company, today provided a corporate update and announced financial results for the third quarter ended Sept. 30, 2024.

加利福尼亚州洛斯加托斯/ACCESSWIRE/2024年10月29日/Atomera Incorporated(纳斯达克:atomera),一家半导体材料和技术许可公司,今天提供了企业更新,并宣布了截至2024年9月30日的第三季度的财务业绩。

Recent Company Highlights

公司近期亮点

  • Announced a collaboration with the Center for Integrated Nanotechnologies (CINT) at Sandia National Laboratories to validate MST's ability to address GaN manufacturing challenges

  • Presented on the advantages of using MST in multiple applications at PRiME 2024

  • 宣布与Sandia国家实验室综合纳米技术中心(CINT)合作,以验证MST解决GaN制造挑战的能力

  • 在PRiME 2024上介绍了在多个应用中使用MSt的优势

Management Commentary
"Our recent collaboration with Sandia National Laboratories CINT highlights the expanding opportunities for Atomera in the power segment of the semiconductor industry to supplement the strong progress we've made with our lead customer in this area," said Scott Bibaud, President and CEO. "We are optimistic about accelerating engagements in our other segments which we believe will lead to the announcement of licenses and JDAs with more customers in the near term."

管理层评论
“我们最近与Sandia国家实验室CINt的合作突显了Atomera在半导体行业功率领域的不断扩大的机遇,以补充我们在该领域与主要客户取得的明显进展,”总裁兼首席执行官Scott Bibaud表示。“我们对加速参与我们认为将导致与更多客户签订许可和JDA协议的其他领域感到乐观,这可能会在短期内宣布。”

Financial Results
The Company incurred a net loss of ($4.6) million, or ($0.17) per basic and diluted share in the third quarter of 2024, compared to a net loss of ($5.0) million, or ($0.20) per basic and diluted share, for the third quarter of 2023. Adjusted EBITDA (a non-GAAP financial measure) in the third quarter of 2024 was a loss of ($3.9) million compared to an adjusted EBITDA loss of ($4.3) million in the third quarter of 2023.

财务结果
公司在2024年第三季度亏损(4.6)百万美元,每股基本和摊薄盈利为(0.17)美元,而在2023年第三季度,净亏损为(5.0)百万美元,每股基本和摊薄盈利为(0.20)美元。2024年第三季度调整后EBITDA(一项非依据美国通用会计准则的财务指标)亏损了(3.9)百万美元,而在2023年第三季度,调整后EBITDA亏损了(4.3)百万美元。

The Company had $17.3 million in cash, cash equivalents and short-term investments as of Sept. 30, 2024, compared to $19.5 million as of December 31, 2023.

截至2024年9月30日,公司的现金、现金等价物和短期投资总额为1730万美元,而截至2023年12月31日为1950万美元。

The total number of shares outstanding was 28.3 million as of September 30, 2024.

截至2024年9月30日,流通股总数为2830万股。

Second Quarter 2024 Results Webinar
Atomera will host a live video webinar today to discuss its financial results and recent progress.
Date: Tuesday, Oct. 29, 2024
Time: 2:00 p.m. PT (5:00 p.m. ET)
Webcast: Accessible at

2024年第二季度业绩网络研讨会
Atomera将于今日举行直播视频网络研讨会,讨论其财务业绩和最近进展。
日期:2024年10月29日星期二
会议时间:下午2点 (美国东部时间下午5点)
网络研讨会:可在此处访问

Note about Non-­GAAP Financial Measures
In addition to the unaudited results presented in accordance with generally accepted accounting principles, or GAAP, in this press release, Atomera presents adjusted EBITDA, which is a non-GAAP financial measure. Adjusted EBITDA is determined by taking net loss and eliminating the impacts of interest, depreciation, amortization and stock-based compensation. Our definition of adjusted EBITDA may not be comparable to the definitions of similarly-titled measures used by other companies. We believe that this non-GAAP financial measure, viewed in addition to and not in lieu of our reported GAAP results, provides useful information to investors by providing a more focused measure of operating results. This metric is used as part of the Company's internal reporting to evaluate its operations and the performance of senior management. A table reconciling this measure to the comparable GAAP measure is available in the accompanying financial tables below.

关于非通用会计准则财务指标的说明
除了本新闻稿中根据普遍公认的会计准则(即GAAP)呈现的未经审计的结果外,atomera还提供调整后的EBITDA,这是一种非GAAP财务指标。调整后的EBITDA是通过净亏损并消除利息、折旧、摊销和股票补偿的影响来确定的。我们对调整后的EBITDA的定义可能与其他公司使用的同名指标的定义不可比较。我们认为,这一非GAAP财务指标,作为补充而非替代我们报告的GAAP结果,向投资者提供了有用信息,通过提供更专注的运营结果衡量标准。此指标被用作公司内部报告的一部分,用于评估其业务运营和高级管理人员的绩效。将此指标与可比的GAAP指标进行对比表可在下面的财务表格中找到。

About Atomera Incorporated
Atomera Incorporated is a semiconductor materials and technology licensing company focused on deploying its proprietary, silicon-proven technology into the semiconductor industry. Atomera has developed Mears Silicon Technology (MST), which increases performance and power efficiency in semiconductor transistors. MST can be implemented using equipment already deployed in semiconductor manufacturing facilities and is complementary to other nano-scaling technologies already in the semiconductor industry roadmap. More information can be found at .

关于atomera公司
atomera公司是一家专注将其专有的硅验证技术部署到半导体行业的半导体材料和技术许可公司。atomera已经开发出Mears硅技术(MST),可提高半导体晶体管的性能和功率效率。MST可以利用已部署在半导体制造设施中的设备进行实施,并与半导体行业路线图中已有的其他纳米缩放技术相辅相成。更多信息请访问。

Safe Harbor
This press release contains forward-looking statements concerning Atomera Incorporated, including statements regarding the prospects for the semiconductor industry generally and the ability of our MST technology to significantly improve semiconductor performance. Those forward-looking statements involve known and unknown risks, uncertainties and other factors that could cause actual results to differ materially. Among those factors are: (1) the fact that, to date, we have only recognized minimal engineering services and licensing revenues and we have not yet commenced principal revenue producing operations, thus subjecting us to all of the risks inherent in an early-stage enterprise; (2) the risk that STMicroelectronics does not proceed with qualification of MST in its manufacturing process or does not take MST-enabled products to market, (3) risks related to our ability to successfully complete the milestones in our joint development agreements or, even if successfully completed, to reach a commercial distribution license with our JDA customers; (4) risks related to our ability to advance licensing arrangements with our integration licensees to royalty-based manufacturing and distribution licenses or our ability to add other licensees; (5) risks related to our ability to raise sufficient capital, as and when needed, to pursue the further development, licensing and commercialization of our MST technology; (6) our ability to protect our proprietary technology, trade secrets and know­how and (7) those other risks disclosed in the section "Risk Factors" included in our Annual Report on Form 10-K filed with the SEC on February 15, 2024. We caution readers not to place undue reliance on any forward-looking statements. We do not undertake, and specifically disclaim any obligation, to update or revise such statements to reflect new circumstances or unanticipated events as they occur.

免责声明
本新闻稿中包含关于atomera公司的前瞻性陈述,包括关于半导体行业前景和我们的MST技术显著改善半导体性能的能力的声明。这些前瞻性的陈述涉及已知和未知的风险、不确定性和其他因素,可能导致实际结果有重大差异。其中的因素包括:(1)迄今为止,我们只认可了极少的工程服务和许可收入,尚未开始主要盈利业务,从而使我们面临早期企业固有的所有风险;(2)STMicroelectronics有可能不继续在其制造工艺中进行MST的合格化,或者不将MST启用产品推向市场;(3)与我们能否成功完成我们联合开发协议中的里程碑或者即使成功完成了,与我们能否与我们的JDA客户达成商业分销许可协议有关的风险;(4)与我们能否将许可安排向我们的集成许可证持有人推进到基于特许权的制造和分销许可证或我们能否增加其他许可证持有人有关的风险;(5)与我们能否在需要时筹集足够的资本,以推进MST技术的进一步发展、许可和商业化有关的风险;(6)我们保护专有技术、商业秘密和专业知识的能力以及(7)在我们于2024年2月15日向SEC提交的10-k表中包括的“风险因素”部分中披露的其他风险。我们提醒读者不要过分依赖任何前瞻性的陈述。我们不承诺,也明确否认有义务更新或修订此类陈述,以反映新情况或意外事件的发生。

-- Financial Tables Follow -

-- 财务表格如下 -

Atomera Incorporated
Condensed Balance Sheets
(in thousands, except per share data)

atomera 公司
精简资产负债表
(以千为单位,每股数据除外)

September 30,

June 30,

December 31,

2024

2024

2023

(Unaudited)

(Unaudited)

ASSETS
Current assets:
Cash and cash equivalents

$

13,757

$

14,484

$

12,591

Short-term investments

3,585

3,804

6,940

Accounts receivable

6

6

-

Unbilled contracts receivable

-

-

550

Interest receivable

56

74

79

Prepaid expenses and other current assets

388

578

244

Total current assets

17,792

18,946

20,404

Property and equipment, net

63

75

100

Long-term prepaid maintenance and supplies

91

91

91

Security deposit

14

14

14

Operating lease right-of-use asset

341

401

517

Financing lease right-of-use-asset

1,839

2,341

2,903

Total assets

$

20,140

$

21,868

$

24,029

LIABILITIES AND STOCKHOLDERS' EQUITY
Current liabilities:
Accounts payable

$

786

$

646

$

618

Accrued expenses

172

249

222

Accrued payroll related expenses

968

594

1,382

Current operating lease liability

258

256

264

Current financing lease liability

1,194

1,386

1,328

Deferred revenue

8

13

-

Total current liabilities

3,386

3,144

3,814

Long-term operating lease liability

80

137

295

Long-term financing lease liability

781

1,108

1,750

Total liabilities

4,247

4,389

5,859

Commitments and contingencies
Stockholders' equity:
Preferred stock $0.001 par value, authorized 2,500 shares; none issued and outstanding as of September 30,2024, June 30, 2024 and December 31, 2023

-

-

-

Common stock: $0.001 par value, authorized 47,500 shares; 28,289 shares issued and outstanding as of September 30, 2024: 27,622 shares issued and 27,610 outstanding as of June 30, 2024; and 26,107 shares issued and outstanding as of December 31, 2023

28

28

26

Additional paid-in capital

232,726

229,726

221,229

Other comprehensive income(loss)

2

(7)

-

Accumulated deficit
(216,863) (212,268) (203,085)
Total stockholders' equity

15,893

17,479

18,170

Total liabilities and stockholders' equity

$

20,140

$

21,868

$

24,029

2020年9月30日

6月30日,

12月31日

2024

2024

2023

(未经审计)

(未经审计)

资产
流动资产:
现金及现金等价物

$

13,757

$

14,484

$

12,591

短期投资

3,585

3,804

6,940

应收账款

6

6

-

未开票合同应收款项

-

-

550

应收利息

56

74

79

预付费用和其他流动资产

388

578

244

总流动资产

17,792

18,946

20,404

资产和设备,净值

63

75

100

长期预付维护和耗材

91

91

91

存入资金

14

14

14

经营租赁资产使用权

341

401

517

融资租赁使用权资产

1,839

2,341

2,903

总资产

$

20140

$

21,868

$

24,029

负债和股东权益
流动负债:
应付账款

$

786

$

646

$

618

应计费用

172

249

222

应计的工资相关支出

968

594

1,382

当前的运营租赁负债

258

256

264

当前融资租赁负债

1,194

1,386

1,328

递延收入

8

13

-

流动负债合计

3,386

3,144

3,814

长期经营租赁负债

80

137

295

长期融资租赁负债

781

1,108

1,750

负债合计

4,247

4,389

5,859

承诺和 contingencies
股东权益:
首选股票$0.001面值,授权2,500股;截至2024年9月30日、2024年6月30日和2023年12月31日,均未发行和流通。

-

-

-

普通股:面值$0.001,授权47,500股;截至2024年9月30日发行并流通股份为28,289股:2024年6月30日发行股份27,622股,流通27,610股;2023年12月31日发行并流通股份26,107股

28

28

26

额外实收资本

232,726

229,726

221,229

其他全面收益(亏损)

2

 

-

累积赤字
(216,863) (212,268) (203,085)
股东权益合计

15,893

17,479

18,170

负债和股东权益合计

$

20140

$

21,868

$

24,029

Atomera Incorporated
Condensed Statements of Operations
(Unaudited)
(in thousands, except per share data)

atomera公司
经简化的损益表
(未经审计)
(以千为单位,每股数据除外)

Three Months Ended

Nine Months Ended

September 30,

June 30,

September 30,

September 30,

2024

2024

2023

2024

2023

Revenue

$

22

$

72

$

-

$

112

-

Cost of revenue
(3) (74)

-

(110)

-

Gross margin

19

(2)

-

2

-

Operating expenses
Research and development

2,759

2,589

3,305

8,206

9,533

General and administrative

1,812

1,832

1,683

5,455

5,200

Selling and marketing

248

207

365

805

1,147

Total operating expenses

4,819

4,628

5,353

14,466

15,880

Loss from operations
(4,800) (4,630) (5,353) (14,464) (15,880)
Other income (expense)
Interest income

176

185

177

566

528

Accretion income

59

47

112

152

221

Interest expense
(30) (35) (47) (104) (151)
Other income, net

-

72

72

72

72

Total other income (expense), net

205

269

314

686

670

Net loss

$

(4,595)

$

(4,361)

$

(5,039)

$

(13,778) (15,210)
Net loss per common share, basic and diluted

$

(0.17)

$

(0.16)

$

(0.20)

$

(0.52) (0.62)
Weighted average number of common shares outstanding, basic and diluted

27,406

26,467

25,255

26,640

24,536

三个月之内结束

九个月结束

2020年9月30日

6月30日,

2020年9月30日

2020年9月30日

2024

2024

2023

2024

2023

营业收入

$

22

$

72

$

-

$

112

-

营业收入成本
TDK株式会社:100% (74)

-

(110)

-

毛利率

19

(2)

-

2

-

营业费用
研发

2,759

折旧、摊销和贴现

3,305

8,206

9,533

ZSCALER, INC.

1,812

1,832

1,683

5,455

5,200

销售和营销

248

207

365

805

1,147

营业费用总计

4,819

4,628

5,353

14,466

15,880

经营亏损
(4,800) (4,630) (5,353) (14,464) (15,880)
其他费用收益
利息收入

176

185

177

566

528

增值收入

59

47

112

152

221

利息支出
(30) (35) (47) (104) (151)
其他收入,净额

-

72

72

72

72

总其他收入(费用),净额

205

269

314

686

670

净亏损

$

(4,595)

$

(4,361)

$

(5,039)

$

(13,778) 汇率期货影响(a)
普通股每股净亏损,基本和稀释

$

(0.17)

$

(0.16)

$

(0.20)

$

(0.52) (0.62)
相关方应付票据的发行收益

27,406

26,467

25255

26,640

24,536

Atomera Incorporated
Reconciliation to Non-GAAP EBITDA
(Unaudited)

Atomera公司
调节至非GAAP EBITDA
(未经审计)

Three Months Ended

Nine Months Ended

September 30,

June 30,

September 30,

September 30,

2024

2024

2023

2024

2023

Net loss (GAAP)

$

(4,595)

$

(4,361)

$

(5,039)

$

(13,778)

$

(15,210)
Depreciation and amortization

12

13

20

42

60

Stock-based compensation

907

987

1,041

2,918

2,998

Interest income
(176) (185) (177) (566) (528)
Accretion income
(59) (47) (112) (152) (221)
Interest expense

30

35

47

104

151

Other income, net

-

(72) (72) (72) (72)
Net loss non-GAAP EBITDA

$

(3,881)

$

(3,630)

$

(4,292)

$

(11,504)

$

(12,822)

三个月之内结束

九个月结束

2020年9月30日

6月30日,

2020年9月30日

2020年9月30日

2024

2024

2023

2024

2023

净亏损(GAAP)

$

(4,595)

$

(4,361)

$

(5,039)

$

(13,778)

$

汇率期货影响(a)
折旧和摊销

12

13

20

42

60

以股票为基础的报酬计划

907

987

1,041

2,918

2,998

利息收入
(176) (185) (177) (566) (528)
Accretion income
(59) (47) (112) (152) (221)
利息支出

30

35

47

104

151

其他收入,净额

-

(72) (72) (72) (72)
Net loss non-GAAP EBITDA

$

(3,881)

$

(3,630)

$

(4,292)

$

(11,504)

$

(12,822)

Investor Contact:
Bishop IR
Mike Bishop
(415) 894-9633
investor@atomera.com

投资者联系人:
Bishop IR
Mike Bishop
(415)894-9633
investor@atomera.com

SOURCE: Atomera, Inc

来源:atomera, Inc


译文内容由第三方软件翻译。


以上内容仅用作资讯或教育之目的,不构成与富途相关的任何投资建议。富途竭力但不能保证上述全部内容的真实性、准确性和原创性。
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