Fountain Asset Corp. Announces Its Financial Results for the Quarter Ended September 30, 2024
Fountain Asset Corp. Announces Its Financial Results for the Quarter Ended September 30, 2024
TORONTO, Nov. 26, 2024 (GLOBE NEWSWIRE) -- Fountain Asset Corp. (TSXV:FA) ("Fountain" or the "Company") would like to announce its financial results for the three and nine months ended September 30, 2024 ("Q3/24").
多倫多,2024年11月26日(GLOBE NEWSWIRE)-- Fountain Asset Corp.(tsxv:fa)("Fountain"或"公司")希望公佈截至2024年9月30日的三個月和九個月的財務業績("Q3/24")。
Highlights from three months ended September 30, 2024:
截至2024年9月30日的三個月亮點:
- NAV of $5.03 million ($0.08/share) at September 30, 2024 compared to $5.73 million ($0.09/share) at June 30, 2024, representing a 11% decrease on a quarter over quarter per share basis. NAV is calculated as the value of total assets less the value of total liabilities;
- Net comprehensive losses of $0.71 million compared to net comprehensive losses of $0.75 million for the quarter ended September 30, 2023 ("Q3/23");
- Total losses from investment activity was $0.43 million compared to losses of $0.59 million for Q3/23;
- Net realized gains on the sale of portfolio investments of $0.06 million compared to net realized losses of $0.43 million for Q3/23;
- Net unrealized losses on portfolio investments of $0.50 million compared to net unrealized losses of $0.17 million for Q3/23;
- Total expenses of $0.28 million compared to $0.16 million for Q3/23; and
- Operating expenses of $0.26 million compared to $0.15 million for Q3/23.
- 截至2024年9月30日的淨資產爲503萬美元($0.08/分享),相比於截至2024年6月30日的573萬美元($0.09/分享),按每股季度環比減少了11%。淨資產是總資產的價值減去總負債的價值;
- 淨綜合損失爲71萬美元,而截至2023年9月30日的淨綜合損失爲75萬美元("Q3/23");
- 投資活動的總損失爲43萬美元,而2023年Q3的損失爲59萬美元;
- 從投資組合中出售投資的淨實現收益爲6萬美元,而2023年Q3的淨實現損失爲43萬美元;
- 投資組合投資的未實現淨損失爲50萬,而2023年第三季度的未實現淨損失爲17萬;
- 總費用爲28萬,而2023年第三季度的費用爲16萬;並且
- 營業費用爲26萬,而2023年第三季度的營業費用爲15萬。
Highlights from nine months ended September 30, 2024:
截至2024年9月30日的九個月亮點:
- NAV of $5.03 million ($0.08 per share) at September 30, 2024 compared to $6.66 million ($0.11 per share) at December 31, 2023, representing a 24% decrease year to date on a per share basis. NAV is calculated as the value of total assets less the value of total liabilities;
- Net comprehensive loss of $1.65 million for the nine months ended September 30, 2024, compared to net comprehensive loss of $1.63 million for the nine months ended September 30, 2023;
- Total loss from investment activity was $0.98 million compared to total loss of $1.08 million for the nine months ended September 30, 2023;
- Net realized losses on the sale of portfolio investments of $0.81 million compared to net realized losses of $1.90 million for the nine months ended September 30, 2023;
- Net unrealized losses on portfolio investments of $0.90 million compared to net unrealized gains of $0.80 million for the nine months ended September 30, 2023;
- Total expenses of $0.67 million, which included $0.02 million of stock-based compensation, compared to $0.55 million for the nine months ended September 30, 2023 which included $0.07 of stock-based compensation; and
- Operating expenses of $0.65 million compared to $0.53 million for the nine months ended September 30, 2023.
- 截至2024年9月30日的淨資產值爲503萬(每股0.08元),相比於截至2023年12月31日的666萬(每股0.11元),按每股計算年初至今下降24%。淨資產值的計算是總資產的價值減去總負債的價值;
- 截至2024年9月30日的九個月內淨綜合損失爲165萬,而截至2023年9月30日的淨綜合損失爲163萬;
- 投資活動的總損失爲98萬,而截至2023年9月30日的總損失爲108萬;
- 投資組合投資的淨實現損失爲81萬,而截至2023年9月30日的九個月淨實現損失爲190萬;
- 投資組合投資的淨未實現損失爲90萬,而截至2023年9月30日的九個月淨未實現收益爲80萬;
- 總費用爲67萬,其中包括2萬的股票獎勵補償,而截至2023年9月30日的九個月費用爲55萬,其中包括0.07萬的股票獎勵補償;以及
- 營業費用爲65萬,而截至2023年9月30日的九個月爲53萬。
During Q3/24, the Company realized $0.06 million in gains on the sale of non-core portfolio investments. The company saw a decline in its portfolio of publicly traded companies led to a net unrealized loss during Q3/24.
在2024年第三季度,公司實現了6萬的非核心投資組合投資銷售收益。公司看到其上市公司投資組合的下降導致在2024年第三季度出現淨未實現損失。
The Company continued to focus on reducing its operating expenses in Q3/24, which helped reduce the net comprehensive loss of the Company. As at September 30, 2024, the Company's net assets were valued at $5.03 million or $0.08 per share compared to $6.66 million or $0.11 per share at December 31, 2023.
截至2024年9月30日,公司持續關注減少其營業費用,這有助於減少公司的淨綜合損失。截至2024年9月30日,公司淨資產價值爲503萬或每股$0.08,而截至2023年12月31日爲666萬或每股$0.11。
"During Q3/24, Fountain was able to continue to realize gains on the sale of its non-core portfolio investments while focusing on reducing its operating expenditures to strengthen the Company's financial position and capitalize on investment opportunities. Fountain continues to find strategic investments that we believe will bring economic benefits to the Company and its shareholders." said Andrew Parks, CEO of Fountain.
「在2024年第三季度,Fountain能夠繼續實現其非核心投資組合的銷售收益,同時專注於減少營業費用,以加強公司的財務狀況並把握投資機會。Fountain繼續尋找我們相信將爲公司及其股東帶來經濟利益的戰略投資。」Fountain的首席執行官Andrew Parks說道。
A full set of the Q3 2024 unaudited financial statements and the management discussion & analysis are available on SEDAR+.
2024年第三季度未經審計的完整財務報表及管理討論與分析可在SEDAR+上獲得。
About Fountain Asset Corp.
關於Fountain資產corp。
Fountain Asset Corp. is a merchant bank which provides equity financing, bridge loan services (asset back/collateralized financing) and strategic financial consulting services to companies across many industries such as marijuana, oil & gas, mining, real estate, manufacturing, retail, financial services, and biotechnology.
Fountain資產corp是一家商人銀行,爲許多行業的公司提供股權融資、過渡貸款服務(資產擔保/抵押融資)和戰略財務諮詢服務,行業包括大麻、石油和燃氣、採礦、房地產業、製造業、零售、金融服務和生物技術。
Forward-Looking Statements
前瞻性聲明
Certain information contained in this press release constitutes forward-looking information, which is information relating to possible events, conditions or results of operations of the Company, which are based on assumptions and courses of action and which are inherently uncertain. All information other than statements of historical fact may be forward-looking information. Forward-looking information in this press release includes, but is not limited to, growing Fountain's capital base and a strong pipeline going forward. These forward-looking statements reflect the current expectations or beliefs of the Company based on information currently available to the Company. Forward-looking statements are subject to a number of risks and uncertainties that may cause the actual results of the Company to differ materially from those discussed in the forward-looking statements, and even if such actual results are realized or substantially realized, there can be no assurance that they will have the expected consequences to, or effects on, the Company. Factors that could cause actual results or events to differ materially from current expectations include, among other things: the level of bridge loans and equity investments completed, the nature and credit quality of the collateral security and the nature and quality of equity investments, and the other risks disclosed under the heading "Risk Factors" and elsewhere in the Company's annual information form dated August 17, 2022 filed on SEDAR+ at . Any forward-looking statement speaks only as of the date on which it is made and, except as may be required by applicable securities laws, the Company disclaims any intent or obligation to update any forward-looking statement, whether as a result of new information, future events or results or otherwise. Although the Company believes that the assumptions inherent in the forward-looking statements are reasonable, forward-looking statements are not guarantees of future performance and accordingly undue reliance should not be put on such statements due to the inherent uncertainty therein.
本新聞稿中包含的信息構成前瞻性信息,該信息與公司可能發生的事件、情況或運營結果相關,基於假設和行動方案,具有固有的不確定性。除歷史事實聲明外的所有信息都可能是前瞻性信息。本新聞稿中的前瞻性信息包括但不限於擴大Fountain的資本基礎和強大的未來項目管道。這些前瞻性聲明反映了公司基於目前可用信息的當前預期或信念。前瞻性聲明受到多種風險和不確定性的影響,這可能導致公司的實際結果與討論的前瞻性聲明有重大差異,甚至如果這種實際結果實現或基本實現,也不能保證它們會對公司產生預期的後果或影響。可能導致實際結果或事件與當前預期有重大差異的因素包括但不限於:完成的橋貸款和股權投資的水平,抵押品的性質和信用質量以及股權投資的性質和質量,以及在公司的2022年8月17日提交給SEDAR+的年度信息表中的"風險因素"標題下披露的其他風險。任何前瞻性聲明僅在其作出之日有效,除非適用證券法律要求,否則公司否認更新任何前瞻性聲明的意圖或義務,無論是由於新信息、未來事件或結果還是其他原因。雖然公司相信前瞻性聲明中固有的假設是合理的,但前瞻性聲明並不保證未來的業績,因此不應過度依賴這些聲明,因爲其中固有的不確定性。
Neither TSX Venture Exchange Inc. 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.
無論是tsxv交易所公司,還是其監管服務提供商(該術語在tsxv交易所的政策中被定義)均不對本公告的充分性或準確性負責。
For further information: please contact Andrew Parks at (416) 456-7019 or visit Fountain Asset Corp.'s website at .
欲了解更多信息,請聯繫Andrew Parks,電話:(416) 456-7019,或訪問Fountain Asset corp.的網站。
譯文內容由第三人軟體翻譯。